A Companion to the Anthropology of American Indians

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A Companion to the Anthropology of American Indians

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A Companion to the Anthropology of American Indians

Blackwell Companions to Anthropology Blackwell Companions to Anthropology offer a series of comprehensive syntheses of the traditional subdisciplines, primary subjects, and geographic areas of inquiry for the field. Taken together, the series represents both a contemporary survey of anthropology and a cutting-edge guide to the emerging research and intellectual trends in the field as a whole. 1 A Companion to Linguistic Anthropology edited by Alessandro Duranti 2 A Companion to the Anthropology of Politics edited by David Nugent and Joan Vincent 3 A Companion to the Anthropology of American Indians edited by Thomas Biolsi Forthcoming A Companion to Psychological Anthropology edited by Conerly Casey and Robert B. Edgerton A Companion to the Anthropology of Japan edited by Jennifer Robertson

A Companion to the Anthropology of American Indians Edited by Thomas Biolsi

ß 2004 by Blackwell Publishing Ltd BLACKWELL PUBLISHING

350 Main Street, Malden, MA 02148-5020, USA 108 Cowley Road, Oxford OX4 1JF, UK 550 Swanston Street, Carlton, Victoria 3053, Australia The right of Thomas Biolsi to be identified as the Author of the Editorial Material in this Work has been asserted in accordance with the UK Copyright, Designs, and Patents Act 1988. All rights reserved. No part of this publication may be reproduced, stored in a retrieval system, or transmitted, in any form or by any means, electronic, mechanical, photocopying, recording or otherwise, except as permitted by the UK Copyright, Designs, and Patents Act 1988, without the prior permission of the publisher. First published 2004 by Blackwell Publishing Ltd Library of Congress Cataloging-in-Publication Data A companion to the anthropology of American Indians / edited by Thomas Biolsi. p. cm.—(Blackwell companions to anthropology ; 3) Includes bibliographical references and index. ISBN 0-631-22686-9 (alk. paper) 1. Indians of North America—Study and teaching. 2. Anthropology—Research—North America. 3. Indians of North America—History. 4. Indians of North America—Research. I. Biolsi, Thomas, 1952–II. Series. E76.6.C66 2005 970.004’97—dc22 2004006543 A catalogue record for this title is available from the British Library. Set in 10/12.5 pt Galliard by Kolam Information Services Pvt. Ltd, Pondicherry, India Printed and bound in the United Kingdom by TJ International Ltd, Padstow, Cornwall The publisher’s policy is to use permanent paper from mills that operate a sustainable forestry policy, and which has been manufactured from pulp processed using acid-free and elementary chlorine-free practices. Furthermore, the publisher ensures that the text paper and cover board used have met acceptable environmental accreditation standards. For further information on Blackwell Publishing, visit our website: www.blackwellpublishing.com

To Vine Deloria, Jr., with great esteem for critical scholarship and intellectual presence, reflected in the pages of this book.

Contents

Synopsis of Contents Notes on Contributors

x xviii

Introduction: What is the ‘‘Anthropology’’ of ‘‘American Indians’’? Thomas Biolsi

1

Part I:

5

Environments and Populations

1

Political and Historical Ecologies Kenneth M. Ames

2

Historical Demography Russell Thornton

Part II:

Political, Social, and Economic Organization

7 24

49

3

Women and Men Martha C. Knack

51

4

Politics Loretta Fowler

69

5

Tribal or Native Law Bruce Granville Miller

95

6

Culture and Reservation Economies Kathleen Pickering

Part III: 7

Knowledge and Expressive Culture

Knowledge Systems Eugene S. Hunn

112

131 133

viii

C ON TEN T S

8

Oral Traditions Rodney Frey

154

9

Religion Raymond Bucko

171

10

Music Luke Eric Lassiter

196

11

Art Rebecca J. Dobkins

212

Part IV:

Colonialism, Native Sovereignty, Law, and Policy

229

12

Political and Legal Status (‘‘Lower 48’’ States) Thomas Biolsi

231

13

Political and Legal Status of Alaska Natives Caroline L. Brown

248

14

Federal Indian Policy and Anthropology George Pierre Castile

268

15

Contemporary Globalization and Tribal Sovereignty Randel D. Hanson

284

16

Treaty Rights Larry Nesper

304

17

Education Alice Littlefield

321

Part V:

Cultural Politics and the Colonial Situation

339

18

Representational Practices Pauline Turner Strong

341

19

The Politics of Native Culture Kirk Dombrowski

360

20

Cultural Appropriation Tressa Berman

383

21

Community Healing and Cultural Citizenship Renya K. Ramirez

398

22

Native Hawaiians Cari Costanzo Kapur

412

Part VI: 23

Anthropological Method and Postcolonial Practice

Ethnography Peter Whiteley

433 435

CO NT EN T S

ix

24

Beyond ‘‘Applied’’ Anthropology Les W. Field

472

25

Language James Collins

490

26

Visual Anthropology Harald E. L. Prins

506

27

Archaeology Larry J. Zimmerman

526

Index

542

Synopsis of Contents

Part I: Environments and Populations 1 Political and Historical Ecologies Kenneth M. Ames This chapter takes a broad view of the historical ecology of Native American societies, examining the ways that native peoples have both responded to and altered their environments and landscapes throughout history, and the ways that an ecological focus on the history of native landscapes can give us a fresh approach to modern reservation environmental, demographic, and health issues. The author suggestively anticipates a political ecology of Native America that, rooted in historical ecology, would examine power relations mediated by environmental and economic forces.

2 Historical Demography Russell Thornton The native population of North America prior to European contact was 7 million. This chapter traces the post-contact disease and ecological processes by which this figure was reduced to less than 400,000 by 1900 (a reduction of 94 percent). It also examines the processes by which the native North American population has rebounded to 3.5 million at present. The chapter also describes intermarriage with non-Indians and formal certification of native identity in the present.

Part II: Political, Social, and Economic Organization 3 Women and Men Martha C. Knack This chapter examines relations between women and men in native societies from before contact to the present, surveying the major theories on the subject. Particular

SYNOPSIS OF CONTENTS

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attention is given to how social structure (for example, matrilineal and matrilocal organization), economic organization (for example, who controls the distribution of goods), politics (for example, processes of group decision-making), and religion affect the degree of equality between the sexes. Also considered is the variety of effects that the larger Euro-American context has had historically and in the present upon the relative status of native women and men.

4

Politics

Loretta Fowler This chapter considers the history of anthropological knowledge of Native American political organization, or how leaders are chosen, decisions made, disputes settled, and other matters regarding social power addressed. While we have some knowledge of pre-reservation politics, most political anthropology of Native Americans concerns the reservation period and is concerned with how to understand both continuity and change in native politics. How, for example, are native political systems reproduced and/or transformed in the face of such external forces as the Bureau of Indian Affairs, the Indian Reorganization Act of 1934, the Alaska Native Claims Settlement Act of 1971, and the Indian Self-Determination Act of 1875?

5

Tribal or Native Law

Bruce Granville Miller Indigenous law concerned itself not so much with ‘‘crime’’ (which may have no direct translation in native languages or societies) but with addressing disputes between individuals and groups, with repairing ‘‘tears in the social fabric.’’ The struggle of contemporary native societies in the legal realm is to construct tribal codes and judicial systems that blend ancient and contemporary concepts and practices in workable arrangements that allow a judicious balancing of community interests. Concepts of – and struggles over – native tradition, the spirituality of law, peacemaker courts, separation of powers, and the neutrality or social embeddedness of tribal judges, are all part of the complex process of making tribal justice in the present.

6

Culture and Reservation Economies

Kathleen Pickering There is no question that contemporary Indian people live in an economic world subject to global forces that reshaped their communities in fundamental ways, and ‘‘incorporated’’ them into capitalism. But it is also fruitful to examine how tribal communities have persisted as communities and adapted to capitalism in ‘‘deeply indigenous, cultural terms.’’ This chapter considers how native values and practices such as generosity and kinship, household strategies and microenterprise, commitment to tribal sovereignty and other communal goods, shape reservation economies along with the more purely ‘‘economic’’ forces of the market.

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SYNOPSIS OF CONTENTS

Part III: Knowledge and Expressive Culture 7 Knowledge Systems Eugene S. Hunn Anthropologists have long concerned themselves with whether indigenous systems of knowledge culturally shape perception of reality, or whether a more or less objective and pan-human perception of reality shapes indigenous knowledge. This chapter shows the subtle and complex ways in which native experience with the environment is developed into complex systems of ethnobiology and ethnogeography which reflect both the basic structure of the natural world (remarkably mirroring the Linnaean system) and the particular uses and values imposed by native peoples upon their worlds in particular native traditions.

8 Oral Traditions Rodney Frey Myth has long been of interest to anthropologists for what it can tell us about Native American worldviews. This chapter considers the subject by putting myth into proper context: by examining the concrete forms of storytelling (and listening) that make up the ongoing oral traditions of native peoples. Mythical figures such as Salmon, Coyote, Raven, and others are described in stories, and the language itself is understood to be powerful and generative, to be world-making. At the same time, the listeners are encouraged to imagine the landscape shaped by these figures, to travel with them in time and space. In the process of speaking and listening, the stories themselves convey critical lessons, reinvigorate native peoplehood, and ultimately make the world itself.

9 Religion Raymond Bucko Religion in traditional native contexts is interwoven with, and cannot be separated from, other dimensions of native social life. This chapter examines the range of native religious belief and ritual in aboriginal life, the ways in which Christianity has been assimilated into native societies, the kinds of approaches that anthropologists have used to study native religion, the critical role of religion in contemporary native identities, and the ethical responsibilities thus inhering to anthropologists or others who would study native religion.

10 Music Luke Eric Lassiter The anthropological study of native music starts with the premise that ‘‘music emerges in its cultural contexts.’’ It is the community-based meanings of music that are critical. The chapter demonstrates this research agenda by considering the case of Kiowa (Christian) hymns. Among the lessons drawn are the importance of music as a vehicle for the continuity of Kiowa language and culture, the importance of native discourse about music in the cultural context of music, and the remarkable

S YN O P S I S O F C O N TE NT S

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openness of native music to innovations drawn from non-native contexts, while still remaining distinctively native.

11 Art Rebecca J. Dobkins This chapter demonstrates how an anthropological approach to native art can never be complete with only an aesthetic perspective, but must attend to the sociocultural and the political contexts in which art is produced, circulated, and consumed. This is true of ‘‘traditional’’ art in ‘‘aboriginal’’ contexts, of native art collected during the ‘‘Museum Age’’ at the height of American empire, and of our present, ‘‘postcolonial’’ moment of repatriation, collaboration, and tribalization of collections. The chapter considers the kinds of questions that anthropologists pose of art and its contexts in these historical periods, and suggests some answers.

Part IV: Colonialism, Native Sovereignty, Law, and Policy 12 Political and Legal Status (‘‘Lower 48’’ States) Thomas Biolsi This chapter surveys the status of Indian tribes under federal Indian law. It summarizes the history of Indian law since the first Indian treaty executed with the U.S., and lays out the basic areas in which tribes may exercise governing powers drawn from their inherent sovereignty, and free from federal and state interference. Also considered are the gray and contested areas where federal Indian law is still very much in the making.

13 Political and Legal Status of Alaska Natives Caroline L. Brown Native Alaskans have experienced a legal and political history very different from that of native people in the ‘‘lower 48’’ states. Under the Alaska Native Claims Settlement Act, 13 native regional corporations and 200 native village corporations have been established, and these entities hold land and other assets as corporate property owned by the native corporate shareholders. But along with the native corporations are 75 tribal governments organized under the Indian Reorganization Act, as well as 150 traditional village councils recognized by the federal government. This makes for a remarkably complex legal and political landscape.

14 Federal Indian Policy and Anthropology George Pierre Castile American anthropology founded itself on the study of American Indians, and the U.S. government established a federal agency in 1879, the Bureau of American Ethnology, to study Indians. Thus one might expect that the discipline has had a long history of influencing federal Indian policy. This chapter shows, however, the marginal role that anthropology has had in Indian policy, and explains how its influence has been ‘‘limited and diffuse,’’ largely because of its focus on native pasts rather than native futures.

xiv

SYNOPSIS OF CONTENTS

15 Contemporary Globalization and Tribal Sovereignty Randel D. Hanson Much thinking about the rights to sovereignty by native peoples takes place in a conceptual vacuum: reservation communities are often analyzed as localities in isolation from political and economic forces at other geographical scales. This chapter shows how attention to the global scale gives us key insights into contemporary tribal sovereignty. Political globalization (for example, in international notions of human rights) has both energized and enabled advances in the struggle for self-determination on the part of Indian peoples. Economic globalization has, however, presented tribal governments with an increasingly omnipotent neo-liberal framework of ‘‘free market’’ forces that often confronts them with difficult choices regarding reservation ‘‘development.’’

16 Treaty Rights Larry Nesper Treaties are a critical consideration in the political thinking and the exercise of rights by contemporary American Indian peoples. But treaties cannot be understood as simply Western legal documents to be interpreted by professional lawyers and enforced by federal courts. This chapter examines the anthropology of treaties, involving both the history of treaty-making and treaty interpretation, and the meaning of treaties from the standpoints of contemporary native peoples. How have native peoples used treaties as ‘‘constitutions,’’ in making new social relationships, and even new ‘‘peoples’’?

17 Education Alice Littlefield Education is one of the key sites in the long history of colonizing Native Americans, and of the struggle against colonialism. This chapter considers Indian education in broad terms, beginning with indigenous child life, but focusing on the study of Indian schools in colonial and postcolonial projects – from the boarding school to the contemporary Indian-controlled local school. Of particular significance here is the politics of native identity, and the dialectic of domination and resistance in the institution of the school.

Part V: Cultural Politics and the Colonial Situation 18 Representational Practices Pauline Turner Strong The images held by non-Indians of Indian people are a crucial issue in both scholarship and politics. This chapter examines anthropology’s role as the ‘‘image-maker’’ that has historically specialized in the study of the ‘‘primitive.’’ But while this still haunts the discipline, anthropology has also developed a powerful critical analysis of images of native peoples, both those produced by the discipline itself (as well as other academic fields), and those circulating in public culture.

S YN O P SI S O F C O N TE N T S

xv

19 The Politics of Native Culture Kirk Dombrowski Native people in the United States reside in a specific political-economic and politicallegal niche that critically differentiates them from non-Indians: claims to land-based resources that are rooted in related claims to distinct native cultures. It is cultural difference from the mainstream that serves to justify indigenous rights, but this is by no means an inevitable basis for claiming rights, and has readily apparent ‘‘normalizing’’ effects upon native ways of living and thinking. Using an example from Alaska, this chapter considers how the necessity that an Indian people ‘‘have’’ a (distinct) culture affects their relationships to their own communities, histories, and futures.

20 Cultural Appropriation Tressa Berman What may seem to non-Indians like innocent ‘‘borrowing’’ of native culture can amount to forms of taking not fundamentally different from theft in the view of Indian people. This chapter considers the appropriation of native material and intellectual culture by museums, the ‘‘free market’’ and ‘‘public domain,’’ courts, and other institutions of colonial power. Also examined and critically evaluated are a range of remedies used or considered by native peoples, including copyright, trademark, and creative re-appropriation.

21 Community Healing and Cultural Citizenship Renya K. Ramirez Native communities – both on reservations and in urban settings – increasingly identify healing as a political as well as therapeutic response to colonialism and racism; the personal is increasingly recognized as political in Indian communities. This chapter examines three contexts of urban Indian healing, all of which serve to develop the cultural citizenship of Indian people. This refers to the process by which native people assert their cultural difference from the mainstream, while also claiming their membership in the larger national community as native people. Cultural citizenship is a supplement to indigenous sovereignty, but not a form of assimilation, integration, or acculturation.

22 Native Hawaiians Cari Costanzo Kapur While Native Hawaiians are not ‘‘Native Americans’’ or ‘‘American Indians,’’ they are an indigenous people whose struggle for sovereignty in the present in some ways parallels that of native peoples in the other 49 states. Furthermore, recognition by the U.S. of Native Hawaiians as an indigenous people – not just a racial minority – may well shift the political and legal terrain upon which all native peoples within U.S. borders think and act. This chapter reviews the history of the colonial overthrow of the Hawaiian Kingdom by the U.S. and the subsequent political and economic history of Native Hawaiians, and considers the consequences of the contemporary Hawaiian sovereignty movement for racial identity formation.

xvi

SYNOPSIS OF CONTENTS

Part VI: Anthropological Method and Postcolonial Practice 23 Ethnography Peter Whiteley Ethnography, the systematic study of and writing about cultures, is the core method of anthropology, but it has been practiced by Europeans and Americans as a method upon native people since long before the discipline existed. Rooted culturally, politically, and existentially in the encounter between those who came to the New World and those who lived there, ethnography is treated here as a fundamental intellectual constituent of Europe-in-the-world. The chapter traces the history of ethnography from Columbus to the present, and considers both its complicities with the larger colonialism that made (and makes) its very practice possible, as well as its actual and potential instances of subversion of colonial thinking.

24 Beyond ‘‘Applied’’ Anthropology Les W. Field Some of the most well-known examples of American applied anthropology have been conducted in American Indian communities, with the University of Chicago’s ‘‘Fox Project’’ among the most analyzed. This chapter squarely recognizes the limits of applied anthropology in leaving the definition of goals and methods in the hands of academics and non-Indians, and seeks to develop a framework for genuine collaboration between native communities and non-native scholars. Critical lessons of the potential roles of anthropologists in collaboration are drawn from cases of repatriation of native patrimony, tribal revivals of native languages, and struggles by native peoples for federal recognition as ‘‘Indians.’’

25 Language James Collins No one who studies native peoples, anthropologically or through some other discipline, believes that the study of native languages is unimportant, and for many native communities the revival of indigenous language is key to sovereignty and cultural survival. But perhaps surprisingly, both the study of native languages and the tribal attempts to revitalize them are beset with political struggles. This chapter explores the difficult questions of how (and by whom) ‘‘native language’’ will be defined in particular communities (for example, omitting Indian Englishes) and how language ideologies (for example, the questionable proposition that a distinct native culture can be transmitted only through a native language other than English) shape the visions native people have about ‘‘the language’’ and its survival.

26 Visual Anthropology Harald E. L. Prins Native people have been photographed for about as long as they have been systematically studied and written about by ethnologists and anthropologists: photography, film, and video are critical components of the representational apparatus of anthropology, along with books and museums. This chapter traces changes in the visual

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documentation of native peoples as both evolving technologies and changing anthropological theory have altered its form, content, and context. Of particular concern is the role of these media in the dialectical process by which native peoples see themselves represented by others, act on those representations, and, in turn, both reproduce and resist or reinscribe the representations in complex ways.

27 Archaeology Larry J. Zimmerman The potential incompatibility of native and anthropological ‘‘worldviews’’ are perhaps nowhere as stark as in the case of archaeology, one of the four subdisciplines of anthropology. This chapter surveys the history of relations between native peoples and archaeologists, from the early archaeological assumption that living Indian people could not possibly represent the ‘‘more civilized’’ peoples who built the earthworks and burial mounds found in the U.S., to contemporary ‘‘indigenous archaeology’’ and the profound changes in the study of the past brought about by the Native American Graves Protection and Repatriation Act of 1990. The question throughout this history is how distinct values and deep cultural orientations – many of them very unfortunate, for archaeology’s part – have generated profound conflict.

Notes on Contributors

Kenneth M. Ames is Professor of Anthropology at Portland State University. He has conducted research in western North America since 1968. Among other publications, he is, with Herbert Maschner, author of Peoples of the Northwest Coast: Their Archaeology and Prehistory (Thames & Hudson, 1999). Tressa Berman is independent curator and Founding Director of BorderZone Arts, Inc., of San Francisco. She is Affiliated Scholar of the Women’s Leadership Institute at Mills College, and Research Associate of Anthropology at the California Academy of Sciences. She has published widely in the area of Visual Cultural Studies for publications such as New Art Examiner, Art Papers, Museum Anthropology, and Cultural Survival Quarterly. Her books include Circle of Goods: Women, Work and Welfare in a Reservation Community (SUNY Press, 2003) and No Deal! Indigenous Arts and the Politics of Possession (forthcoming). Thomas Biolsi is Professor of Anthropology and Director of Native American Studies at Portland State University in Oregon. Most of his fieldwork has been conducted on Rosebud Reservation in South Dakota. Among his publications are Organizing the Lakota: The Political Economy of the New Deal on Pine Ridge and Rosebud Reservations (University of Arizona Press, 1992) and ‘‘Deadliest Enemies’’: Law and the Making of Race Relations on and off Rosebud Reservation (University of California Press, 2001). Caroline L. Brown is completing her dissertation in cultural anthropology at the University of Chicago. Her research explores the interface of state and Alaska Native tribal court practice in Native child welfare cases. Much of her fieldwork has been conducted in Athabascan villages of interior Alaska. Other publications include ‘‘Culture and Compliance: Locating the Indian Child Welfare Act in Practice’’ (Political and Legal Anthropology Review 24[2], 2001) and ‘‘A Resource Most Vital: Legal Interventions in Native Child Welfare’’ (The Northern Review 23, 2001).

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Raymond Bucko is Associate Professor of Anthropology and director of the Native American Studies Program at Creighton University in Nebraska. He has worked primarily with the Lakota of the Pine Ridge Reservation and has also worked in Montana and Ontario. He is the author of The Lakota Ritual of the Sweat Lodge (University of Nebraska Press, 1998) and has created a digital research database of Fr. Buechel’s ethnographic museum housed in the Buechel Memorial Lakota Museum (Rosebud Educational Society, 2004; http://www.sfmission.org/ museum/archive.shtml). George Pierre Castile is Professor of Anthropology at Whitman College. His publications include To Show Heart: Native American Self Determination and Federal Indian Policy, 1960–75 (University of Arizona Press, 1998) and State and Reservation: New Perspectives on Federal Indian Policy (ed., with Robert Bee, University of Arizona Press, 1992). James Collins is Professor of Anthropology and Reading at the University at Albany/SUNY. He has done linguistic and ethnographic fieldwork among the Tolowa of northwest California as well as a number of language-oriented schooland-community studies in the Bay Area, Chicago, Philadelphia, and upstate New York. Among his publications are Understanding Tolowa Histories: Western Hegemonies and Native American Responses (Routledge, 1998) and Literacy and Literacies: Texts, Power, and Identity (Cambridge University Press, 2003; co-authored with Richard Blot). Rebecca J. Dobkins is Associate Professor of Anthropology and Faculty Curator of Native American Art at Willamette University in Salem, Oregon. Her research focuses on the work of contemporary Native artists in California and the Pacific Northwest. Her publications include the monographs Rick Bartow: My Eye (Hallie Ford Museum of Art, 2002) and Memory and Imagination: The Legacy of Maidu Indian Artist Frank Day (Oakland Museum, 1997). Kirk Dombrowski is an Associate Professor of Anthropology at John Jay College of Criminal Justice, CUNY. He is the author of Against Culture: Development, Politics, and Religion in Indian Alaska (University of Nebraska Press, 2001) and co-editor with Gerald Sider of ‘‘Fourth World Rising,’’ a book series from the University of Nebraska Press that focuses on contemporary politics in and around indigenous communities in North and South America. Since 1992 he has been engaged in research in Southeast Alaska, mainly concerning Alaska Native political struggles and the international timber industry. Les W. Field is Associate Professor of Anthropology at the University of New Mexico. He has conducted fieldwork in Nicaragua, Colombia, Ecuador, and in Native California. Duke University Press published his first book, The Grimace of Macho Raton: Artisans, Identity and Nation in Late Twentieth Century Western Nicaragua (1999). His second book, Abalone Tales, which details his work with Native communities in California, will be published by the University of California Press in 2005.

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Loretta Fowler is Professor of Anthropology at the University of Oklahoma. She has conducted fieldwork on Wind River Reservation, Fort Belknap Reservation, and in Oklahoma, and is currently writing a book on politics, sovereignty, and rights claims among Plains Indian peoples. Among her publications are Arapahoe Politics, 1851– 1978: Symbols in Crises of Authority (University of Nebraska Press, 1982), which won the American Society for Ethnohistory Erminie Wheeler-Voegelin Award; Shared Symbols, Contested Meanings: Gros Ventre Culture and History, 1778–1984 (Cornell University Press, 1987); Tribal Sovereignty and the Historical Imagination: Cheyenne–Arapaho Politics (University of Nebraska Press, 2002); and The Columbia Guide to American Indians of the Great Plains (Columbia University Press, 2003). Rodney Frey is Professor of American Indian Studies and Anthropology at the University of Idaho. He has been working collaboratively with the tribes of the Plateau and northern Plains on various applied projects for the past thirty years. Among his recent publications are Stories That Make the World: Oral Literature of the Indian Peoples of the Inland Northwest (University of Oklahoma Press, 1995), Landscape Traveled by Coyote and Crane: The World of the Schitsu’umsh (Coeur d’Alene Indians) (University of Washington Press, 2001), and Schitsu’umsh: Lifelong Learning Online (Coeur d’Alene Tribe, National Aeronautics and Space Administration, and the University of Idaho, 2002; URL: http://L3.ed.uidaho.edu/Sites/ ShowOneSite.asp?SiteID ¼ 50&ExpeditionID ¼ 1). Randel D. Hanson is an Assistant Professor in the School of Justice Studies at Arizona State University, where he is also an Affiliate Faculty and Advisory Board Member in the American Indian Studies Program. His research is focused on the relationship between political economy and the production and distribution of environmental hazards, particularly as it relates to American Indian reservation communities. In addition to various articles, he has two books forthcoming, including From Bad to Goods: Marketing Nuclear Waste to American Indians (University of Minnesota Press); and (with Joseph Masco and Valerie Kuletz) Half Lives: Social and Environmental Legacies of Nuclear Technologies (University of Minnesota Press). Eugene S. Hunn is Professor of Anthropology at the University of Washington, Seattle. He has done ethnobiological, ecological, and linguistic fieldwork with the Yakama, Warm Springs, and Umatilla tribes and with Maya and Zapotec communities in Mexico. His books include Tzeltal Folk Zoology: The Classification of Discontinuities in Nature (Academic Press, 1977) and Nch’i-Wa´na ‘‘The Big River’’: Mid-Columbia Indians and Their Land (University of Washington Press, 1990), with James Selam and family. Cari Costanzo Kapur is a Ph.D. candidate in the department of Cultural and Social Anthropology at Stanford University. Her research interests include indigenous rights in local and global contexts, cultural production in the Asia Pacific region, ethnic identity and conflict, and the social production of historical memory. Her dissertation is entitled ‘‘Race, Rights, and Resistance: Constructing Identities in Contemporary Hawaii.’’

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Martha C. Knack’s ethnographic and ethnohistorical work has centered on issues of social structure, gender role, contemporary economy, federal Indian law, and land and water rights defense in various Great Basin groups. Her books include Life is With People: Household Organization of the Contemporary Southern Paiute Indians (Ballena Press, 1980); As Long as the River Shall Run: An Ethnohistory of Pyramid Lake Indian Reservation (with Omer C. Stewart) (University of California Press, 1984; revised edition, University of Nevada Press, 1999), which presents the historical background for the Pyramid Lake water rights cases; Native Americans and Wage Labor: Ethnohistorical Perspectives (co-edited with Alice Littlefield) (University of Oklahoma Press, 1996); and Boundaries Between: The Southern Paiutes, 1775–1995 (University of Nebraska Press, 2001), which won the John C. Ewers Award in 2002. She is currently a Distinguished Professor of Anthropology at the University of Nevada, Las Vegas. Luke Eric Lassiter is an Associate Professor of Anthropology at Ball State University in Muncie, Indiana. His books include The Power of Kiowa Song: A Collaborative Ethnography (University of Arizona Press, 1998) and, with Clyde Ellis and Ralph Kotay, The Jesus Road: Kiowas, Christianity, and Indian Hymns (University of Nebraska Press, 2002). Alice Littlefield is Professor of Anthropology at Central Michigan University, Mt. Pleasant. She has published several articles on American Indian education, especially on the Bureau of Indian Affairs residential schools, and is co-editor with Martha C. Knack of Native Americans and Wage Labor (University of Oklahoma Press, 1996). She has also published on artisan production in Mexico and the race concept in anthropology. Bruce Granville Miller is Professor of Anthropology at the University of British Columbia. His recent publications include Invisible Indigenes: The Politics of Nonrecognition (2003) and The Problem of Justice: Tradition and Law in the Coast Salish World (2001), both from the University of Nebraska Press. His current work considers the relationship between research and expert witnessing and the development of world indigenous organizations. He continues his work with the Coast Salish of Washington and British Columbia. Larry Nesper is Assistant Professor of Anthropology and Native American Studies at the University of Wisconsin-Madison. He is the author of The Walleye War: The Struggle for Ojibwe Spearfishing and Treaty Rights (University of Nebraska Press, 2002). He is currently working on a project on Ojibwe tribal courts in Wisconsin. Kathleen Pickering is Associate Professor with the Department of Anthropology, Colorado State University. Her research interests include economic anthropology, American Indian economic development, traditional ecological knowledge, and the impacts of globalization on indigenous communities. Her book Lakota Culture, World Economy (University of Nebraska Press, 2000) examines the role of culture, households, and local institutions from the Pine Ridge and Rosebud Indian reservations in the construction of the world-system, both currently and through history.

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Harald E. L. Prins is Professor of Anthropology at Kansas State University and guest curator at the National Museum for Natural History, Smithsonian Institution. He served as an expert witness in several Native rights cases in the U.S. Senate and Canadian courts and was instrumental in the successful federal recognition and land claims case of the Aroostook Band of Micmacs (1990). He also wrote The Mi’kmaq: Resistance, Accommodation, and Cultural Survival (Harcourt Brace, 1996), coproduced the films Our Lives in Our Hands (D.E.R., 1986) and Oh, What a Blow that Phantom Gave Me (D.E.R., 2003), and authored many other publications. Renya K. Ramirez, an enrolled member of the Winnebago Tribe of Nebraska, is Assistant Professor of American Studies at the University of California at Santa Cruz. Her research interests include gender, urban Indians, cultural citizenship, and the relationship between Native Americans and anthropology. She has published articles in American Indian Research and Culture Journal, American Indian Quarterly, and Frontiers: A Journal of Women’s Studies. Pauline Turner Strong is Associate Professor of Anthropology at the University of Texas at Austin. Her research centers on historical and contemporary representations of Native Americans in U.S. public culture. Her book Captive Selves, Captivating Others: The Politics and Poetics of Colonial American Captivity Narratives (Westview, 1999) received an Honorable Mention for the 2000 Chicago Folklore Prize. She is co-editor, with Sergei Kan, of New Perspectives on Native North America: Cultures, Histories, and Representations (Nebraska, 2004). Russell Thornton is a Professor of Anthropology at the University of California, Los Angeles. Born and raised in Oklahoma, he is a registered member of the Cherokee Nation of Oklahoma. He has studied both the population history of North American Indians and North American Indian revitalization movements over his career. He is the author of over 100 publications, many of which are in the leading journals of anthropology, sociology, and other disciplines. His books include We Shall Live Again (Cambridge University Press, 1986), American Indian Holocaust and Survival (University of Oklahoma Press, 1987), The Cherokees: A Population History (University of Nebraska Press, 1990), and, as editor, Studying Native America (University of Wisconsin Press, 1998). He has recently become interested in the calendar histories of Plains Indians, typically referred to as ‘‘winter counts,’’ and is coeditor with Candace Greene of The Night the Stars Fell: Lakota Winter Counts at the Smithsonian (in press). Peter Whiteley is Curator in North American Ethnology at the American Museum of Natural History. His principal research is with the Hopi in Arizona, the Cayuga in New York, the Hupa in California, and the eastern Pueblos in New Mexico. His major writings include: Deliberate Acts: Changing Hopi Culture through the Oraibi Split (University of Arizona Press, 1988) and Rethinking Hopi Ethnography (Smithsonian Institution Press, 1998). Larry J. Zimmerman is Head of the Archaeology Department for the Minnesota Historical Society. He has served as Chair of American Indian and Native Studies at

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the University of Iowa and as Distinguished Regents Professor at the University of South Dakota. A specialist in Plains and Midwestern archaeology, he is the author of Native North America (Oklahoma, 1998), Presenting the Past (AltaMira, 2003), and American Indians/The First Nations: Native North American Life, Myth, and Art (Duncan Baird, 2003).

Introduction: What is the ‘‘Anthropology’’ of ‘‘American Indians’’?

The reader who picks up this book would certainly be justified in assuming that the meaning of the terms ‘‘anthropology’’ and ‘‘American Indians’’ is more or less clear. After all, why publish a Blackwell Companion composed of state-of-the-art summaries written by respected scholars if the boundaries or content of the discipline or the subject matter are not self-evident and agreed upon? But this book is conceived in a different intellectual spirit, because both anthropology and the topic of American Indians must be understood historically and conceptually as ‘‘moving targets.’’ That is, both anthropology and the category of American Indians are phenomena that are in the process of change and, perhaps, transformation – as they have been since their initial appearance. The proposition that the category ‘‘American Indians’’ is not a stable object for purposes of study might seem like an odd notion. Have there not, after all, been peoples indigenous to the Americas since long before anthropology was invented, and are not many of these indigenous peoples still here? And does not being Indian (or not) make a profound difference in people’s lives? Of course: there is no question that ‘‘Indian’’ matters very much in the real world. But who do we include in the category when we set out to do anthropology? All people indigenous to the New World (as, for example, the International Indian Treaty Council and other organizations advocating native rights do)? All people indigenous to North America? Do we include Mexico in ‘‘North America,’’ or do we include just its two northern neighbors? And what about Russian (Siberian) natives who share language and culture with Alaska Natives – are they included in our definition of ‘‘North American Indians’’? In other words, while everybody ‘‘knows’’ what ‘‘Indians’’ are, the study of ‘‘Indians’’ is as fraught with first-order definitional problems, as increasingly beset all area studies in anthropology and allied fields. My point is not that any definition of ‘‘American Indians’’ is arbitrary, or merely an empty sign produced by discourse, and my aim is certainly not to disable the scholarly study of American Indians. Rather, my point is that what and who gets included in

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this category of identity is in historical flux, and that the category is in part defined by one’s specific scholarly interests in native peoples. Regarding the matter of the category being in historical flux, it is important to recognize that ‘‘American Indian’’ is neither a fixed, nor an ‘‘aboriginal,’’ identity. Rather, it is a product of contact with Euro-Americans. ‘‘American Indian’’ is a historically emergent category, one that appears and reappears in particular incidents of native interaction with the forces and structures of the colonial situation in ‘‘the New World’’ over the last half millennium. Put differently, the identity of ‘‘American Indian’’ is a product of ethnogenesis. Cherokee anthropologist Robert K. Thomas was among the first to examine the historical situation in which ‘‘Pan-Indianism’’ emerged out of independent and separate ‘‘tribal’’ identities in response to the colonial situation (Thomas, 1965). This emergent or historical quality of the category ‘‘American Indians’’ also means that the category is subject to continuous possibilities for change in the present and future. As this book goes to press, for example, the ‘‘Native Hawaiian Recognition Act’’ is being considered by Congress, after having been reviewed by the Senate Committee on Indian Affairs in 2003. The proposed act would declare that Congress ‘‘has identified Native Hawaiians as a distinct indigenous group within the scope of its Indian affairs power,’’ would grant Native Hawaiians the right to establish a government not unlike the tribal government established under the Indian Reorganization Act of 1934, and would establish an Office for Native Hawaiian Relations in the Department of the Interior (the ‘‘Native Hawaiian Bureau of Indian Affairs’’?). Besides ‘‘recognizing’’ Native Hawaiians, the act would also clearly recognize a larger category of ‘‘indigenous, native people of the United States,’’ and affirm that ‘‘the United States has a special political and legal responsibility to . . . the native people of the United States, including Native Hawaiians.’’ This is a good example of what I mean by ‘‘American Indians’’ being a historically moving target. Will the category of ‘‘American Indians and Alaska Natives,’’ now used by the federal government, eventually grow into a more inclusive identity, ‘‘Native People of the United States’’ – not only for government functionaries but for the native people themselves (which would be a new identity, a new ‘‘imagined community’’)? Will, for example, the National Congress of American Indians change its name to the ‘‘National Congress of Native People of the United States’’ (which would be far from merely a matter of semantics)? As to the linkages between the definition of ‘‘American Indians’’ on the one hand, and one’s scholarly or theoretical interest in them on the other hand, it is critical to recognize that the category both shapes and is shaped by the intellectual problems we propose to grapple with. What Eric Wolf said of the concept of ‘‘mode of production’’ is equally applicable to the category of ‘‘American Indian’’: ‘‘The utility of the concept does not lie in classification but in its capacity to underline strategic relationships’’ (Wolf, 1982: 76). We have chosen to focus this book on, as the Senate Committee on Indian Affairs put it, the native peoples of the United States (not capitalized, since it is not a formal identity – yet). This is not because the native peoples of the United States have more in common with each other culturally than they do with native peoples outside the United States. Many Indian people in the ‘‘lower 48’’ states have more in common culturally – including blood and affinal ties – with Natives in Canada than with other U.S. Indians; the same is also true of the

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Tohono O’odham (formerly known as the ‘‘Pima’’) in Arizona, who have tribal members on both sides of the U.S.–Mexico border. We do not propose the U.S. as a ‘‘culture area.’’ Our U.S. framework, rather, has its rationale in the colonial situation faced by native peoples. The U.S. has a particular history regarding its indigenous peoples – including the role of anthropologists in studying native peoples – and it has developed particular political and legal structures that native peoples have had to resist, adapt to, or accommodate. This makes the situation of U.S. native peoples significantly different from that of Canadian First Nations people, and even more different from the situation of Indian people in Mexico – although, of course, there are international parallels, to be sure. But it is the intertribal commonalities – and the local specificities – in native resistance, adaptation, and accommodation to the U.S. social formation that is the unifying thread in this book, and the justification for the ‘‘cuts’’ we make in bounding the subject matter of ‘‘American Indians’’ as we do. We put into our category of ‘‘American Indians,’’ for this book, a vast range of linguistic and cultural diversity, including all of the following: Indian peoples in the 48 contiguous states; and Indians, Eskimos, and Aleuts in Alaska (although there is no treatment of Aleuts in this book). We also include Native Hawaiians. Different scholarly or theoretical interests would obviously necessitate different cuts in defining ‘‘Indians.’’ What we mean by ‘‘anthropology,’’ too, requires a little explanation. Some of the questions that anthropologists continuously grapple with – directly or indirectly, explicitly or implicitly – are what anthropology is, why it exists, and what and who it is for. There is little agreement about the answers, despite the picture of programmatic disciplinarity that may be conveyed in undergraduate textbooks. This scholarly debate within the discipline as it concerns the study of American Indians is due, in no small part, to the critique of the discipline by native scholar Vine Deloria, Jr., to whom this book is dedicated. While most anthropologists would agree that anthropology has something to do with the comparative study of culture, the use of ethnography as a method, and a historical tendency to study non-Western or otherwise marginalized groups, it is not entirely clear that this agreement amounts to a coherent discipline. The range of theoretical standpoints (not to mention the fundamental disagreements) in anthropology will be clear in the pages of this book. What we think ties us as anthropologists (and some of us are ‘‘fellow travelers,’’ and not technically anthropologists, since our Ph.D.s are in other fields) together, however, is a perennial concern with four questions that together distinguish us from other disciplines: a concern (1) to understand the relationship between culture and power; (2) to examine how culture and language act as world-constructing processes; (3) to track how people experience and shape their own histories; and (4) to recognize and make sense of the incorporation of localities in larger formations, such as the state and the market. None of us in this volume emphasize all these concerns equally, nor do we agree about how to pose, much less answer, the appropriate questions that arise from these concerns. But we are all engaged in the same larger dialogue, and we understand each other’s disciplinary language. We have written this book because we think this anthropological dialogue and the language in which it is conducted has critical value generally, for those who are interested in American Indian peoples in the past, present, and future: students, scholars, and, most of all, we hope, native

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communities themselves. We think – and we intend – that anthropology matters for native people.

ACKNOWLEDGEMENTS I completed editing this book while I was a visiting fellow at the Research Institute of Comparative Studies in Race and Ethnicity at Stanford University, and I am deeply appreciative of the Institute’s generosity and the remarkable intellectual community that its organizers skillfully orchestrate. I, naturally, am indebted to the individual chapter authors who agreed to write for this book, and who put up with my editorial quirks and the annoying delays. I appreciate their willingness to let me facilitate this group project. It is they, of course, not me, who wrote this book, and I am very pleased with what they have done, both individually and collectively. I also want to thank David Nugent and John Dougherty for their help in the editorial process, and Margaret Aherne for her copy-editing a ‘‘monster’’ manuscript. Thanks also to my niece Brooke Beauvais for letting Blackwell use an old picture of her for the cover. And I am especially grateful to Jane Huber, Blackwell’s Anthropology Editor, and the best editor an author could ever hope to work with. Her broad intelligence and professional judgment are matched by her inestimable patience (at least with me). Finally, I want to thank Chibby, Noah Shintaro, and Miyako for making the intellectual life worthwhile.

REFERENCES Thomas, Robert K. 1965: Pan-Indianism. Midcontinent American Studies Journal 6(2): 75–83. Wolf, Eric 1982: Europe and the People without History. Berkeley: University of California Press.

PART

I

Environments and Populations

CHAPTER

1

Political and Historical Ecologies

Kenneth M. Ames

INTRODUCTION It is impossible to encompass ‘‘Native American Ecology’’ in a single essay, or even, perhaps, in a single book. This is due in part to the vastness of the available literature and in part to the vastness of the topic itself. It is also because there is no unitary or single ‘‘Native American Ecology’’; given the nature of ecology; there are many Native American ecologies. I have therefore elected to focus on two themes that I think are essential to understanding the ecology of Native Americans: Political Ecology and Historical Ecology. I emphasize the former because there is no coherent political ecology of Indian people and there should be, for reasons to be developed below. I emphasize the latter because it is an intellectual approach that can be used to provide a framework for the vast literature on Native American ecology and for developing a political ecology. Some readers may anticipate a historical review and analysis of the seminal work of anthropologists (e.g., Wissler, 1926; Kroeber, 1939; Steward, 1938; Suttles, 1962), historians, geographers and others on the subject. I do not pursue that direction here. While such a history would be extremely valuable, it is an essay, even a book, in its own right and is far beyond the scope of this chapter. Ellen (1982) is an excellent beginning point for such a work. I draw my examples from western North America, primarily the Plateau and Northwest Coast, since these are the regions I know best. I turn first to Political Ecology and use that discussion to introduce that topic and secondly to develop an argument for the necessity of a coherent Historical Ecology of Native Americans.

POLITICAL ECOLOGY According to Greenberg and Park (1994) political ecology connects ‘‘political economy, with its insistence on the need to link the distribution of power with

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productive activity[,] and ecological analysis with its broader vision of bioenvironmental relationships.’’ They go on to say: ‘‘Political ecology expands ecological concepts to . . . [include] cultural and political activity with an analysis of ecosystems that are significantly but not always socially constructed’’ (Greenberg and Park, 1994: 1). While political ecology includes more than power relationships, it can minimally be understood to be the analysis of power relationships as they are mediated through economy and ecology. In Native American affairs, a straightforward political ecological analysis is virtually mandated by treaties establishing rights to resources. Indian people, in the United States at least, have different legal relationships to certain kinds of resources than do other citizens of the country (see chapters 12, 13). This relationship is structured by treaty rights and by tribal sovereignty. One recent example of this is the efforts by the Makah tribe of western Washington State to revive their traditional whale hunt. The Makah whale hunt illustrates how any consideration of Native American ecology leads to a tangle of current and historical issues of varying scales. It also directs us to two issues at the heart of any consideration of the ecology of North America and of Indian people: the so-called ‘‘pristine myth’’ and the ‘‘ecological Indian.’’ The Makah Reservation is located on the northwest corner of Washington State’s Olympic Peninsula. It contains the westernmost point in the continental United States. The Makah are the southernmost members of a group of people (Nuuchahnulth, Ditidaht, and Makah) distributed along the west coast of Vancouver Island and the Olympic Peninsula for whom whale hunting was traditionally a significant economic, social, and spiritual activity (e.g., Drucker, 1951). There is archaeological evidence for whale exploitation in this broad region extending back at least two millennia (Huelsbeck, 1988; McMillan, 1999; Monks et al., 2001). During the Late Pacific Period (A.D. 500–1770) and the Modern period (A.D. 1770–present) whaling was central to the acquisition and expression of high status among these peoples (e.g., Drucker, 1951). It was also ‘‘one of the most supernaturally charged activities and required the most elaborate ritual preparation’’ (McMillan, 1999: 160). The Makah ceased whaling in the 1920s, because, they say, of a scarcity of whales along the coast of Washington (www.makah.com: 1999). In 1998, they revived the whale hunt, in the face of considerable controversy. Here is some of their reasoning: ‘‘Many Makahs feel that our health problems result, in some degree, [from] the loss of our traditional diet of seafood and sea mammal meat. We would like to restore the meat of the whale to our diet. Many of us also believe that problems besetting our young people stem from lack of discipline and pride. We believe that the restoration of whaling will help to restore that discipline and pride’’ (www.makah.com: 1999). The Makah’s right to whale is secured by their 1855 treaty with the United States. This treaty was the basis upon which the U.S. government supported the Makah’s recent petition to whale before the International Whaling Commission. The Makah whale hunt is opposed by a variety of environmental groups and whalewatching firms that oppose whaling generally (e.g., Sea Shepherd Conservation Society, 2002). They describe the whale hunt in at least one place as a ‘‘holocaust’’ and claim that the whale hunt is actually a front for Japanese whaling interests that want to renew and expand international whaling by undermining the International Whaling Commission that governs whaling. They further claim that the Makah intend to sell the whale meat, a charge the Makah deny. These groups also worry

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that the renewal of whaling by the Makah will lead to a renewal of whaling by other Nuuchahnulth groups in Canada. The whale hunt is also opposed by eco-tourism firms that provide whale-viewing tours and by groups who are opposed to cruelty to animals and who see the hunt as cruel. These groups profess to honor Makah traditions but view the hunt as an arcane practice with no place in the modern world. The whale hunt illustrates the complex interplay of political, economic, social, and ideological factors at play in ‘‘Indian ecology.’’ The Makah’s right to hunt has a legal basis in treaty, although that right had not until recently been exercised for almost 70 years. Despite their treaty with the United States, the hunt is not merely a national issue, but, in this case, an international one. At base, the issue here seems to be who controls the whales and the right to use the whales and to what ends, or, in other words, the issue is the politics of whaling, which is embedded in questions of traditional practices, governmental Indian policy, white–Indian relations, environmentalism, and so on. The players include, but are not limited to, the Makah (and perhaps different factions within the Makah, among whom there is not universal support for whaling), the U.S. government, Washington State government, the International Whaling Commission, environmental groups, eco-tourism firms, animal rights groups, scientists, and the media through whom much of this controversy is distilled and refracted to the general public. The rhetoric is often fiery on both sides. This is in part a consequence of many participants having strong ideological commitments: the Makah to cultural renewal through revival of a core cultural practice and aboriginal rights; environmentalists and others to protect animals that have come to symbolize many things, including the protection of endangered species, the health of the planet, animal rights, and perhaps even a sentient ‘‘Other’’ being with whom we share the planet. I believe the rhetoric is also fiery for two reasons that are very deep-seated, but which color any consideration of the ecology of Native Americans or of North America. The first has been termed ‘‘the Pristine Myth’’ (Deneven, 1992), the notion that North America (and the rest of the Western Hemisphere) was, at the time of contact, ‘‘primarily pristine, virgin, a wilderness nearly empty of people’’ (Deneven, 1992: 369). This idea has been deeply held, at least by Euro-Americans, and has been fundamental in the early growth of the discipline of ecology (e.g., Cornett, 1998) as well as to justifications for the European conquest of the continent (see chapter 12). Kay (2002) goes so far as to argue the myth is racist. There is now a great deal of scholarship that shows that most of the North American environment was anthropogenic (e.g., Kay and Simmons 2002), heavily influenced and shaped by Native Americans over generations and millennia. For some scholars, Native American manipulation of the landscape was a good thing, leading to very productive landscapes (e.g., Turner, Ignace, and Ignace, 2000), while for others it is seen as resulting in over-exploitation (e.g., Martin and Szuter, 1999). A second procrustean idea is at the root of this debate, that of the so-called ‘‘ecological Indian’’ (Krech, 1999). At its heart, this is a postulate that Native American religious and subsistence practices across the continent were founded on very strong ethics about the use and conservation of resources. For Euro-Americans, this idea had perhaps its earliest clear expression in the 18th century in Jean-Jacques Rousseau’s ‘‘Noble Savage.’’ Rousseau and other romantics saw hunter-gatherers and small-scale farmers as close to nature, and therefore ennobled: that life before

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civilization, before property, was the pure human condition (see chapter 18). According to this view, everything has been downhill since the invention of property and agriculture. Property led to the development of social inequality and of poverty. Agriculture led to population growth and environmental and human degradation. There is a strong commitment both to the idea that North America was environmentally pristine and to the ‘‘ecological Indian’’ on the part of many in the environmental movement, and Indians are often used as symbols of ecological awareness (as in a famous anti-pollution television advertisement of the 1970s). These ideas are used to foster what Ingerson (1994) has called a sense of ‘‘environmental original sin’’ weighing on modern Western Civilization. Among Indian people, who would no doubt reject Rousseau’s romanticism, there is an equally strong, sincere, ethical commitment to conservation, regardless of views on the ‘‘pristineness’’ of North America. This commitment serves, among other things, to distinguish Indian people and cultures from the consumerism and materialism they see around them in the dominant Euro-American culture and as a basis to claim they are still the true stewards of the North American environment (see, for example, www.critfc.org). There are sharp debates in the scholarly and popular literature over both ideas. Perhaps the most virulent language concerns the ‘‘ecological Indian’’ (e.g., Krech, 1999; Deloria, 2001), again, because the issues are so close to the bone in terms of how both Indian people and Euro-American peoples view themselves, each other, their role in this hemisphere, and even the moral value and quality of their respective cultures. It is, however, a debate that is in many ways irresolvable, because, at its deepest, it is a debate about matters of faith. It is not my intention to either join or attempt to resolve the debate here. However, it is my contention that one cannot discuss Native American ecology and pretend these debates and issues do not exist as an inescapable social context in which scholarship must take place. This will become clear in the section that follows on historical ecology. A third ‘‘big’’ issue central to a Native American political ecology is demography. While it is generally accepted that Native Americans suffered one of the world’s major demographic disasters as a consequence of the European conquest of the Americas (see chapter 2), the full scope of that disaster (or series of disasters) is an area of controversy, sometimes with a remarkable virulence of its own (e.g., Henige, 1998). The controversy centers on estimates of the population of North America at or prior to contact. However that controversy is resolved (see below), it may be masking a key aspect of modern Native American ecology, their current demography. Greenberg and Park argue for a ‘‘Political ecology [that] expands ecological concepts to [include] cultural and political activity with an analysis of ecosystems that are significantly but not always socially constructed’’ (1994: 1). The term ‘‘landscape’’ may be more appropriate here than ‘‘ecosystem’’. Crumley defines landscape as the ‘‘material manifestation of the relationship between humans and the environment’’ (Crumley, 1994: 6; see also Schama, 1995). These relationships are socially constructed. From this stance, reservations can be analyzed as landscapes or parts of landscapes. A political ecology would be interested in the distribution of

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power across a landscape and the forms that power takes. Key factors to understanding the spatial distribution of power would be demography and health. The demography, or population ecology, of any population of organisms is central to understanding their ecology. Death rates, birth rates, morbidity, and population distributions in time and space are basic dimensions of demography. The health and medical problems faced by Indian peoples are well known, from the demographic catastrophe that befell them with the introduction of epidemic diseases such as smallpox, to levels of suicide and short life expectancies on modern reservations. While these are often thought of as public health issues, they are rarely seen as elements of the ecology of populations of Indian people. I would maintain that they are, particularly when seen in comparison with other segments of the national population. Trafzer (1997) conducted a historical study of death rates and causes of death on the Yakama Indian Reservation using death certificates issued between 1888 and 1964. He found consistent and pervasive differences in death rates and causes of death during that span. Generally Yakama death rates were higher from all causes than those of non-Native Americans, with the exception of cancer. Taking a single example, infant death rates between 1920 and 1964 ranged between 276 percent and as high as 764 percent of infant death rates among Euro-Americans in the United States (calculated from Trafzer, 1997, figure 4.11, p. 237). Trafzer attributes these historically high death rates to nutritional and epidemiological changes, including the loss of the traditional Yakama diet. The situation has improved markedly since 1964 and overall health on the reservation is much better, despite increases in the rates of deaths from homicide, suicide, and the incidence of diabetes. This latter appears to be a consequence of increased reliance on processed foods and the interplay between that diet and the genetics of Indian people – a classic example of the interplay between culture, human biology, and the environment. The changing diet is a consequence of many changes in North American ecology that, for Indian people, includes the reservation system. The causes for the increased rates of homicide and suicide are not clear. A developing political ecology would seek those causes, while a historical ecology would provide time depth for understanding the evolution of landscapes before and after the institution of reservations.

HISTORICAL ECOLOGY Crumley defines historical ecology as landscape history, the study of ‘‘the ongoing dialectical relationships between human acts and acts of nature, made manifest in the landscape’’ (Crumley, 1994: 9). Historical ecology is multidisciplinary, drawing on evidence ranging from reconstructions of ancient climates, through ethnohistory, and archaeology to geography and philosophy. She sees it as essential to framing effective environmental policies. I suggest that it is also essential to understanding modern Native Americans (and everyone else living in North America). A significant, recent development in the historical ecology of North America has been an increasing interest among researchers in the degree to which North American environments are anthropogenic. This interest stems from the realization that

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modern environmental management decisions are often woefully uninformed by the historical record of ecological changes at local and regional levels. Because of the ‘‘Pristine Myth’’ and its wide currency among even well-trained ecologists and wildlife managers, the role of humans in ecological change on the continent has been often ignored. As pointed out above, anthropologists, archaeologists, geographers, and others have known for a long time that the North American landscape was the result of long-term interplay and interaction between humans and other North American organisms. Presumably, this interplay led to the North American landscape becoming increasingly anthropogenic, or increasingly human. However, the course of this process is poorly understood. Traditional ecological knowledge is playing an increasing role in this development. Anthropologists and others long eschewed using native knowledge. However, it is becoming increasingly important not only in academic research, but also in resource management. For example, a plan for sustainable forestry practices in Clayoquot Sound on the west coast of Vancouver Island includes not only forestry science, but also traditional knowledge held by the Nuuchahnulth peoples living in the sound (e.g., Clayoquot Sound Scientific Panel, 1994). The focus of the interest in anthropogenic environments and traditional knowledge is on the ecological history of North America. This cannot be fully understood apart from the ecological history of North Americans over the past many millennia. Further, the biology and cultures of modern Native Americans cannot be fully understood apart from that history. The rest of this section will briefly review some lines that this development is giving rise to.

P O P U L AT I O N E C O L O G Y As demography is central to a political ecology, it is equally central to historical ecology. Population ecology includes such parameters as population size, patterns of growth and decline, distribution across the landscape, and health and nutritional status. Central to the latter is understanding the long-term effects of disease and stress, including changes in diet and the consequences of poor diet. It is widely recognized and accepted that Native American populations suffered catastrophically as a consequence of introduced diseases such as smallpox, measles, chickenpox, malaria, and others. However, there remains great controversy over the numbers of people who lived in North America prior to contact, and therefore the extent of the subsequent catastrophe. There is also controversy over the timing of some early pandemics. Ramenofsky (1988), for example, has suggested that some portions of North America suffered smallpox pandemics as early as 1520. In the Northwest, Campbell (1989) sought indirect evidence for such an epidemic in the archaeological record of the Columbia Plateau, and while her results were not definitive, they raised the possibility of such an early pandemic. Estimates for the population of North America at contact range from as low as 3,000,000 (Kroeber, 1939) to as high as 18,000,000 to 30,000,000 (Dobyns, 1983; and see chapter 2 below). For a time in the 1980s and 1990s a consensus may have been developing that tended toward the higher numbers, although perhaps not the highest. More recently, however, the high numbers and the methods used to

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develop them have been ruthlessly critiqued by Henige (1998). These methods rely heavily on figures in early travelers’ accounts and in early census data. As difficult as it is to use these data to develop population estimates, this difficulty pales before the problems inherent in estimating populations prior to contact. Evidence for long-term population growth and decline is notoriously difficult to attain with archaeological techniques (e.g., Hassan, 1981), although for much of the past, archaeology is the only source of such data. Archaeologists cannot measure population sizes directly and so must use proxy measures. These include the numbers of archaeological sites through time, changes in site sizes (larger sites presumably indicate more people), changing frequencies of radiocarbon dates (or radiometrically dated sites) through time, changes in the numbers of burials, and so on. None of these can do more than provide the basis for relative statements (‘‘populations grew significantly during this period,’’ ‘‘the numbers of people fluctuated during this time’’). Recent work by Chatters, Hess, and Ames provide examples. Ames (1991, 2000), Chatters (1995), and Hess (1997) have modeled changing population sizes on the Columbia Plateau of northwestern North America using a sample of radiocarbon dates. Archaeologists make the working assumption that there is a general correlation between the amount of cultural carbon in the landscape and the number of people. Cultural carbon would be burned organic material produced by human activity. Non-cultural carbon would be produced by natural fires, for example. A conservative reading of these data indicate that human numbers on the Columbia Plateau were extremely low until c. 2400 B.C. when they began to grow, reaching a peak around A.D. 900–1200. If numbers of radiocarbon dates do reflect human numbers, even indirectly, then populations on the Columbia Plateau began to decline after A.D. 1200, some 300 years prior to the arrival of Europeans on the continent. A less conservative reading (e.g., Chatters, 1995; Hess, 1997) suggests that populations may have declined sometime prior to 3000 B.C., then risen sharply around 2400 B.C., fallen again, and then risen sharply after 500 B.C., again peaking around A.D. 1000. There is no settled explanation for these changes. Chatters (1995) explains them as consequences of changes in environmental productivity that were, in their turn, the results of climatic changes. However, as we saw with the Yakama study described above, demography is also affected by economic and social factors (which are in turn affected by demographic changes) and there are social and economic changes accompanying these demographic shifts. Describing those is beyond the scope of this essay. However, continuing the theme raised in the discussion of the Yakama, these ancient demographic and social changes probably affected health, longevity, and other aspects of the lives of individuals, including (as we saw in the Yakama study) violence. These linkages cannot presently be demonstrated using evidence from the Columbia Plateau but they can be in southern California. Lambert (1994), in a longitudinal study of stress and violence in southern California that spanned the period from c. 6000 B.C. until the early 1800s, measured population growth using the numbers of radiometrically dated sites and the numbers of human burials through time. Her data suggest a basic pattern of slow population growth (with some fluctuation) from c. 6000 B.C. until c. A.D. 600, after which populations grew rapidly. This pattern seems replicated, at least at its broadest, in northwestern North America (e.g., Ames, 1991, 2000; Chatters, 1995; Hess, 1997; Maschner, 1991; Ames and Maschner, 1999). As part of her study, Lambert looked at

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the skeletal remains of over 1,000 individuals from burials in the Santa Barbara region of southern California. She examined several key indicators of health and stress, including diet stress, to try and establish a link between stress and violence between 6000 B.C. and A.D. 1800. Her data indicated heightened levels of stress, as indicated by poor health, after 1400 B.C. and persisting until contact. This trend reached its peak between A.D. 500 and A.D. 1200, at a time when population was also at its peak. This was a period, in this area, marked by a relatively arid, unstable climate. Lambert attributes the relatively high levels of stress and poor health to population increases and this climate. The high levels of stress also occur in a period marked by increased levels of interpersonal violence, as indicated by pre-mortem violence-caused trauma on the skeletons. In a contrasting study, Cybulski (1994) examined a sample of several hundred skeletons from coastal British Columbia, and found no indications of declines in health or nutritional status over the past 5,000 years, despite clear evidence for changing subsistence patterns, and markedly high levels of warfare, particularly after A.D. 500. Thus increased warfare on the southern California coast and the Northwest Coast are coincident in time, but there are marked differences in health status. There is also evidence for increased warfare on the Columbia Plateau at that time, although we have no evidence about health. In any case, the reasons for the contrasts between southern California and the Northwest Coast are unknown but suggest important differences in the historical ecology of these regions, despite some broad similarities.

SUBSISTENCE

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E N V I R O N M E N TA L M A N A G E M E N T

The ‘‘Pristine Myth’’ posits that despite millennia of human occupation, North America was essentially a pristine wilderness. This also further implies that Native Americans had little or no impact on the environment. This, of course, is patently incorrect. Much of southern North America (the southern U.S. and most of Mexico) was occupied at contact by farmers, people who had been farmers for 2,000–3,000 years with varying degrees of intensity. In what is now Arizona, the Hohokam people constructed extensive irrigation canals while people in New England practiced swidden agriculture. However, the canals had been abandoned and the swidden farmers decimated before 1800. In addition, many of the peoples of North America were hunter-gatherers who have generally been assumed to have had little impact on their environment. Evidence being developed in the Northwest, as well as elsewhere, clearly shows that to be wrong. Scholars in the Northwest are rethinking the notion of hunter-gatherers, and are also directly examining the impact of Indian people on past environments, particularly through burning. These studies are part of a broader global inquiry into the long-term ecological impacts of small-scale societies, essentially non-industrial, non-state societies, worldwide (e.g., Smith and Wishnie, 2000). It has long been assumed that civilizations have significant ecological effects, but that the effects of small-scale societies are far less. However, over centuries and perhaps even shorter periods, even small societies can have significant cumulative impacts on their environments. The analysis of these impacts has also led to research on the degree to which such small-scale societies

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practice conservation and/or sustainable subsistence methods (e.g., Smith and Wishnie, 2000). The focus of these studies is not on North America or on the ‘‘ecological Indian,’’ but on looking comparatively at the impacts of small-scale societies on their environments. The increasing use of traditional ecological knowledge is making important contributions here. Turner (Turner and Peacock, 1997; Turner et al., 2000), for example, has developed a model of plant management by native peoples that emphasizes management of perennials, rather than annuals, as in much of western agriculture. Her model is based in part on long-term research with First Nation peoples of British Columbia. I will return to this below.

RETHINKING SUBSISTENCE Northwest peoples did not farm prior to the arrival of Europeans. There are early travelers’ reports of peoples on the Northwest Coast growing tobacco, but anthropologists and others have generally regarded them as hunter-gatherers. The environment of the Northwest was viewed as typically a rich one, particularly because of the extraordinarily productive salmon fisheries. Salmon are anadramous; they are born in fresh water, migrate downstream to the sea where they grow to adulthood, and then return to their natal freshwater stream to spawn – to lay and fertilize their eggs. Pacific salmon, unlike Atlantic salmon, die upon spawning. The return trips are called ‘‘runs’’ and salmon ran up the Northwest’s rivers in millions. It has been widely assumed that this resource was so rich that it sustained large human populations virtually alone (e.g., Drucker and Heizer, 1967). One crucial trend since the 1960s has been the increasing recognition that there is no ‘‘typical’’ Northwest Coast environment; there is not a single ‘‘environment’’ but a complex web of habitats or patches which are the result of the interplay among what we might label the ‘‘environment’’ and human social and economic organization. Key to this trend has been the realization that environmental variation in time and space is more important than the idea of the ‘‘typical’’ or ‘‘average’’ environment. On the Northwest Coast, this trend began with the pioneering cultural-ecological work of Wayne Suttles (1962, 1968), who documented environmental variation along the coast and described how Northwest Coast social arrangements might be ways of coping with this variation. Schalk (1977), in a seminal paper, described in detail how salmon abundance varied along the coast. Schalk also demonstrated that the relative economic importance of terrestrial and marine resources along the coast (marine resources become more important as one moves north from northern California to southeastern Alaska) was a function of terrestrial productivity, not the productivity of marine environments. Donald and Mitchell have followed Suttles’ direction and explored in detail the relationships among resource abundance, group territories, and status systems (Donald and Mitchell, 1975, 1994). They have shown (Donald and Mitchell, 1994) that territory boundaries among Kwakwa’kwakw and Nuuchahnulth groups living along the west side of Vancouver Island strongly affect the productivity of the environment of these groups. Their study focused on salmon runs. Variation in the numbers of salmon among different groups’ territories was so extreme that some groups probably faced regular failure of their poor salmon runs

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while other groups possessed salmon resources so rich that the available fishing technology could not fully harvest them. Social groups with poor territories were more likely to join confederacies and participate in feasting circles, apparently to mitigate the effects of their territory’s poor resources, as well as to get access to a wider area, and to the resources in that area. A second trend since the 1980s has been an examination of the role of plant foods and of environmental manipulation on the coast and adjacent areas of the Northwest. It has become clear that plant foods, among other resources, played central roles in Northwestern economies. It has also become evident that the techniques used by Indian people went well beyond passively collecting what bounty nature provided. The Nez Perce of Idaho and the Kwakwa’kwakw of Vancouver Island illustrate this well. The pre-reservation territories of the Nez Perce centered on the Clearwater River of central Idaho, on the western slope of the northern Rocky Mountains (Josephy, 1965). The traditional Nez Perce economy focused on salmon, primarily for winter stores, and on elk or deer, and a range of roots, including camas (Camassia quamash), among others. After the arrival of the horse around 1720, they also began hunting bison on the plains of Montana, to the east of their homeland. As with virtually all people on the Columbia Plateau, roots were fundamental to the economic, social, and spiritual lives of Nez Perce people (e.g., Marshall, 1977). Key winter stores were dried salmon and baked roots or root flour; roots were among the first fresh spring resources, annual root feasts are significant events across the Plateau, and roots were among the resources widely traded across the Plateau (Anastasio, 1975). Archaeological research on the Plateau and elsewhere in the Northwest has attempted to document the history of root exploitation (Thoms, 1989; Peacock, 1998), principally through the location, excavation, and dating of the earth ovens in which camas and other roots were baked. It is clear from this that while roots have been used (and baked) for 11,000 years (Connolly et al., 1997), they began to play a significant economic role only in the last 4,000 years. However, use of camas grounds has fluctuated greatly over the past 4,000 years, for reasons not presently understood. Beyond documenting the history of root harvesting and processing, investigators have become increasingly interested in the environmental effects of root collecting, particularly techniques deliberately used to increase productivity, or which had that effect. Marshall lists three in reference to roots: (1) digging and turning the soil (the plants he discussed thrive under ‘‘disturbed’’ conditions); (2) replanting roots or corms and reseeding (according to Marshall [1999], roots were replanted when they were too small, of the wrong ‘‘sex,’’ or blemished, among other reasons; some root plants were collected only when their seed was mature and ripe, and the seeds scattered across the meadow); and (3) deliberate burning of meadows. Burning was used more widely than for roots, and we will return to it below. His analysis leads Marshall to conclude that the Nez Perce were not, in fact, hunter-gatherers, but horticulturalists. While many may not agree with the label, it is clear that the simple distinction ‘‘farmer/hunter-gatherer’’ vastly oversimplifies the range of native economies present in North America and the world until the last century or so. This is the case even for the peoples of the Northwest Coast, who have long been considered classic hunter-gatherers.

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The Kwakwa’kwakw (formerly Kwakiutl) occupied the northern third of Vancouver Island and adjacent portions of the British Columbia mainland. They are famous in world ethnography because of Franz Boas’s ongoing research between c. 1885 and 1935 and voluminous publications. In some ways, then, they are the classic example of Northwest Coast societies, with potlatching, a permanent elite based on inherited rank, and an economy very heavily dependent on marine and terrestrial animals. Anthropologists have long regarded the Northwest Coast’s peoples as the world’s primary exception to the rule that social stratification requires agriculture. Social stratification on the coast was due, it has been argued (e.g., Drucker and Heizer, 1967), to an extraordinarily abundant natural environment, particularly the salmon runs. However, it is becoming quite clear that Northwest Coast peoples manipulated their environment, a point pursued below. Some also maintained root gardens. Douglas Deur (2000), pursuing information collected by Boas (e.g., 1909) and others, has shown that Kwakwa’kwakw peoples maintained gardens for Springbank clover (Trifolium wormskjoldii) and the Pacific Silverweed (Potentilla answerina ssp. Pacifica). These plants produced starchy rhizomes, or roots, which were harvested in apparently large numbers by people on Vancouver Island and adjacent portions of the coast. According to Deur, these gardens required considerable effort. People modified natural plots by clearing rocks and boulders that were used to build walls around the plots. In the absence of rocks, wooden stakes, boards, and other materials were used to fence these plots. The plots were located on tidal flats where coastal streams entered bays and estuaries, forming marshes. Deur suggests the walls were built to capture and hold nutrients brought in by high tides – that the plots were, in fact, designed to take advantage of the ecologically very productive tidal environment. As with the Nez Perce, the plots were weeded; rhizomes from both plants were transplanted into the gardens, some of which were as much as two acres in size. In most areas families and lineages owned the plots. The key point here is not that Kwakwa’kwakw and other Northwest Coast people had garden plots; rather, that these required considerable labor and knowledge of the environment in which they were placed. The kinds of practices employed in the Northwest were not limited to those described by Marshall and Deur. These practices include tilling (digging, turning over sod, aerating soil); replanting and transplanting, weeding, fertilizing (on the coast with seaweed); pruning and coppicing; and burning (Turner and Peacock, 1997). People’s impact on the environment was not limited to these practices. For example, red cedar trees (Thuja plicata) were extremely important to Northwest Coast life, providing lumber for houses, canoes, storage boxes, bark for fiber, and so on. As a consequence demand for red cedar was high. Logs and finished canoes were important trade items for the people living on the west coast of Vancouver Island, which was rich in red cedar. For example, they exchanged these items for whale oil produced by the Makah on the Olympic peninsula, who lived in a region poor in red cedar. I have estimated that one red cedar structure near Portland, Oregon, dating to c. A.D. 1450, required a minimum of 55,000 board of feet lumber and at least 500,000 board feet over its use life of 500 years (Ames, 1996). (By comparison, a modern house requires 10,000–15,000 board feet.) That structure was home to 40 to 80 people. The immediate region had a minimum population of around 3,000 people, who would have required perhaps 50 to 100 such structures at any one time.

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These structures were in use on the coast for at least 3,500 years. Given their lumber requirements, their construction had to have had an environmental impact. In any case, this range of practices and activities produced over time what Turner and Peacock term ‘‘anthropogenic plant communities.’’ They identify eight of these, including low elevation meadows, rain shadow forest (relatively dry), coastal rainforest, montane forests, freshwater marshes and swamps, freshwater bogs and fens, tidal wetlands (see above), and human occupation sites.

BURNING The topic of burning runs through all of the previous discussion. The aboriginal use of fire to create and manage desired environments is well documented in a voluminous literature. For example, Williams (2002) developed a bibliography of ‘‘Indian Use of Fire in Ecosystems’’ that is 33 single-spaced pages in length. Williams identifies 11 major reasons why fires were set. Oregon’s Willamette Valley is perhaps an epitome of the significance of native burning for the development and maintenance of a distinctive landscape. The Willamette Valley is in western Oregon, between the Cascades and the Coast Range. It is drained by the Willamette River that flows north through the valley to its confluence with the Columbia River at present-day Portland, Oregon. The valley is the traditional territory of Kalapuyan speakers who may have numbered as many as 15,000 at the beginning of the 19th century (Boyd, 1999). At the time, the valley’s dominant vegetation was a lush grassland with scatterings of oaks. The oaks occurred singly and in groves. This habitat is generally termed an oak savanna (Boyd, 1999). This savanna is what attracted Euro-American settlers to cross North America on the Oregon Trail in the 1840s and 1850s. They described and envisioned the valley as a ‘‘sweet Arcadian garden’’ (Bunting, 1997: 72). However, the oak savanna appears to have been what ecologists term a ‘‘seral’’ stage in the life-cycle of a forest. Seral stages are the stages in plant succession. For example, after a plot of ground is cleared, rapidly growing, sun-tolerant plants may grow first, to be replaced later by brushy plants and eventually, under the right circumstances, by trees. The phases before the appearance of trees are ‘‘seral’’ stages. Most burning strategies are aimed at producing and maintaining seral stages because seral plants are most likely to be those that produce nuts, seeds, berries, and roots that people and other mammals eat. The plants are available to gather and to draw game such as deer and elk to be hunted. The oak savanna probably developed initially as a consequence of a major warm dry period in North America before 6,000 years ago (Hebda and Whitlock, 1997). By 6,000 years, oak trees had spread as far north as southern Vancouver Island, a place now too cool and wet for them. The climate became cooler and wetter after 4,000 years ago, but the savanna persisted in Oregon. Boyd (1999) argues that the climate was too wet and cool for oaks; that only aboriginal fires could have maintained the savanna for that long. Recently, Whitlock and Knox (2002) have disputed Boyd’s claims, insisting that the evidence for aboriginal burning is weak, and that the oak savanna was climatically sustained. However, the available ethnohistoric evidence supports Boyd’s basic claim.

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Kalapuya people clearly burned the Willamette Valley floor regularly. They burned to drive deer, and to facilitate collection of seeds, insects, and nuts. Oaks benefit when the ground around them is fired (Shipek, 1989) and burning underbrush makes it easier to collect the nuts. By doing this they engendered what can be called a ‘‘domesticated landscape’’ (Yen, 1989). This environment differs from domesticated plants and farming. In the latter, people interfere with or control plant reproduction. With burning, they interfere with and manipulate ecological processes (and as a result, favor some plants over others) generally. Burning also may have increased environmental diversity rather than reducing it, as farming does. Fire was used to create and maintain favored habitats within broader ecozones. As a result, it increased what ecologists call the ‘‘patchiness’’ of the environment. In other words, burning increased the number and variety of habitats available for humans and other animals to exploit. It also increased the numbers of ecotones, or edges between habitats. The boundaries, or edges, of patches are particularly diverse places. They are inhabited by the organisms that live in each of the adjacent patches, but also by organisms that occupy the boundary itself. The boundary is a distinct resource patch. Where two patches or habitats come together, there aren’t two habitats; there are three, counting the boundary. While burning was widespread, it may not have had the same impact everywhere in the Northwest as it did in the Willamette Valley. Farther north, it was used to create and maintain grassy openings, or prairies, in the forests; but burning did not replace the forests. At higher elevations it was used to create and maintain berry-gathering grounds (e.g., Lepofsky, 2002; Mack and McClure, 2002). These, however, were much smaller in area than the valley floor. However, even these smaller areas increased the patchiness of the environment and raised its productivity. However, a significant problem is documenting the history of these practices and the evolution of anthropic landscapes such as the Willamette Valley (see also papers in Vale, 2002). This in part reflects a lack of research specifically aimed at this issue (Lepofsky, 2002; but see Mack and McClure, 2002). Additionally, both natural and human activities can produce the same result, and it can be difficult to separate the two. For instance, an increase in lodge pole pine in forests in northern British Columbia after 2,200 years ago may be due to increased burning, or to a warmer drier climate (Lepofsky, 2002). Such research, as difficult as it may be to accomplish, will be central to any understanding of the evolution of North American landscapes.

S U M M A RY A N D C O N C L U S I O N S When I undertook writing this chapter, I expected to encounter a lively literature on Indian political ecology. I did not find it. There is a vast literature on the historical ecology of Indian people, although the term ‘historical ecology’ is not usually applied. Political and historical ecology are about landscapes, about the distribution of resources and people across landscapes, and how these landscapes evolved. Political ecology also is about the distribution of power relationships across human landscapes. Power distributions can be evident in many kinds of relationships, including health. For Indian people, treaty rights and reservations are critical elements of the landscape they occupy and therefore to their ecology. Population ecology and subsistence

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practices are central factors in the long-term evolution of those landscapes and to structuring the relationships that existed when Euro-Americans arrived in regions. One of the great ironies of Indian ecological history is that their subsistence practices were central in creating the landscapes that attracted Euro-American settlement and colonization. Building political and historical ecologies of Native Americans is inescapably enmeshed with the common notions of a pristine North America and of the ecological Indian. Conflicting versions of these ideas are deeply held in many different communities and add combustibility to these topics. This combustibility may be why the political ecology I looked for doesn’t appear to exist.

REFERENCES Ames, K. M. 1991: ‘‘The Archaeology of the Longue Duree: Temporal and Spatial Scale in the Evolution of Social Complexity on the Southern Northwest Coast.’’ Antiquity 65: 935–945. —— 1996: ‘‘Life in the Big House: Household Labor and Dwelling Size on the Northwest Coast.’’ In People Who Lived in Big Houses: Archaeological Perspectives on Large Domestic Structures, ed. G. Coupland and E. B. Banning, pp. 131–150. Madison: Prehistory Press. —— 2000: Kennewick Man Cultural Affiliation Report, Chapter 2: Review of the Archaeological Data. National Park Service. http://www.cr.nps.gov/aad/kennewick/ames.htm Ames, K. M. and H. D. G. Maschner 1999: Peoples of the Northwest Coast, Their Prehistory and Archaeology. London: Thames and Hudson. Anastasio, A. 1975: ‘‘The Southern Plateau: An Ecological Analysis of Intergroup Relations.’’ Northwest Anthropological Notes. Moscow: University of Idaho. Boas, F. 1909: ‘‘The Kwakiutl of Vancouver Island.’’ Bulletin of the American Museum of Natural History 8: 301–522. Boyd, R. T. 1998: ‘‘Population History until 1990.’’ In Handbook of North American Indians, vol. 12: Plateau, ed. D. E. Walker, pp. 467–484. Washington, DC: Smithsonian Institution Press. —— 1999: ‘‘Strategies of Indian Burning in the Willamette Valley.’’ In Indians, Fire and the Land in the Pacific Northwest, ed. R. T. Boyd. Corvallis: Oregon State University Press. Bunting, R. 1997: The Pacific Raincoast: Environment and Culture in an American Eden, 1778–1900. Lawrence: University Press of Kansas. Campbell, S. K. 1989: ‘‘Postcolumbian Culture History in the Northern Columbia Plateau: A.D. 1500-1900.’’ Unpublished Ph.D. dissertation, University of Washington, Seattle. Chatters, J. C. 1995: ‘‘Population Growth, Climatic Cooling, and the Development of Collector Strategies on the Southern Plateau, Western North America.’’ Journal of World Prehistory 9(3): 341–400. Clayoquot Sound Scientific Panel 1994: Report of the Scientific Panel for Sustainable Forest Practices in Clayoquot Sound. Victoria. Connolly, T. J., C. M. Hodges, et al. 1997: ‘‘Cultural Chronology and Environmental History in the Willamette Valley, Oregon.’’ Paper presented to the 50th Annual Northwest Anthropological Conference, Ellensburg, WA. Cornett, W. 1998: ‘‘Enculturing Nature.’’ Unpublished MA thesis. Portland State University. Cronon, W. K. 1983: Changes in the Land: Indians, Colonists and the Ecology of New England. New York: Hill and Wang.

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Crumley, C. L. 1994: ‘‘Historical Ecology: A Multidimensional Ecological Orientation.’’ In Historical Ecology: Cultural Knowledge and Changing Landscapes, ed. C. L. Crumley, pp. 1–16. Santa Fe, NM: School of American Research Press. Cybulski, J. S. 1994: ‘‘Culture Change, Demographic History, and Health and Disease on the Northwest Coast.’’ In In the Wake of Contact: Biological Responses to Conquest, ed. R. G. Miller and C. S. Larsen, pp. 75–85. New York: Wiley-Liss. Deloria Jr, V. 2001: The Speculations of Krech: A Review of The Ecological Indian. http:// www.majbill.vt.edu/polisci/corntassel/VineonKrech.html. Deneven, W. M. 1992: ‘‘The Pristine Myth: The Landscape of the Americas in 1492.’’ Annals of the Association of American Geographers 82(3): 369–387. Deur, D. 2000: ‘‘A Domesticated Landscape: Native American Plant Cultivation on the Northwest Coast of North America.’’ Unpublished Ph.D. dissertation, Louisiana State University. Dobyns, H. F. 1983: Their Number Become Thinned: Native American Population Dynamics in Eastern North America. Knoxville: University of Tennessee Press. Donald, L. and D. H. Mitchell 1975: ‘‘Some Correlates of Local Group Rank among the Southern Kwakiutl.’’ Ethnology 14(3): 325–346. —— and—— 1994: ‘‘Nature and Culture on the Northwest Coast of North America: The Case of the Wakashan Salmon Resource.’’ In Key Issues in Hunter-Gatherer Research, ed. J. E. S. Burch and L. J. Ellanna, pp. 65–95. Oxford: Berg. Drucker, P. 1951: The Northern and Central Nootkan Tribes. Bulletin of American Ethnology no. 144. Washington, DC: Smithsonian Institution. Drucker, P. and R. F. Heizer 1967: To Make My Name Good: A Reexamination of the Southern Kwakiutl Potlatch. Berkeley: University of California Press. Ellen, R. 1982: Environment, Subsistence and System: The Ecology of Small-Scale Social Formations. Cambridge: Cambridge University Press. Greenberg, J. B. and T. K. Park 1994: ‘‘Political Ecology.’’ Journal of Political Ecology 1(1): 1–12. Hassan, F. 1981: Demographic Archaeology. New York: Academic Press. Hebda, R. and C. Whitlock 1997: ‘‘Environmental History.’’ In The Rainforests of Home: Profile of a North American Bioregion, ed. P. K. Schoonmaker, B. v. Hagen, and E. C. Wolf, pp. 227–254. Washington, DC: Island Press. Henige, D. 1998: Numbers from Nowhere: The American Indian Contact Population Debate. Norman: University of Oklahoma Press. Hess, S. C. 1997: ‘‘Rocks, Range and Renfrew: Using Distance-Decay Effects to Study Late Pre-Mazama Period Obsidian Acquisition and Mobility in Oregon and Washington.’’ Unpublished Ph.D. dissertation, Washington State University. Huelsbeck, D. R. 1988: ‘‘The Surplus Economy of the Northwest Coast.’’ Research in Economic Anthropology Supplement 3: 149–177. Ingerson, A. E. 1994: ‘‘Tracking and Testing the Nature/Culture Dichotomy in Practice.’’ In Historical Ecology: Cultural Knowledge and Changing Landscapes, ed. C. L. Crumley, pp. 43–66. Santa Fe, NM: School of American Research Press. Josephy Jr., A. M. 1965: The Nez Perce Indians and the Opening of the Northwest. New Haven: Yale University Press. Kay, Charles E. 2002: ‘‘Afterword: False Gods, Ecological Myths and Biological Reality.’’ In Wilderness and Political Ecology: Aboriginal Influences and the Original State of Nature, eds. C. E. Kay and R. T Simmons, pp. 238–262. Salt Lake City: University of Utah Press. Kay, Charles E. and Randy T. Simmons, eds. 2002: Wilderness and Political Ecology: Aboriginal Influences and the Original State of Nature. Salt Lake City: University of Utah Press. Krech III, S. 1999: The Ecological Indian: Myth and History. New York: W. W. Norton.

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Kroeber, A. L. 1939: Cultural and Natural Areas of Native North America. Berkeley: University of California Press. Lambert, P. M. 1994: ‘‘War and Peace on the Western Front: A Study of Violent Conflict and its Correlates in Prehistoric Hunter-Gatherer Societies of Coastal Southern California.’’ Anthropology. University of California, Santa Barbara. Lepofsky, D. 2002: ‘‘The Northwest.’’ In Plants and People in Ancient North America, ed. P. Minnis. Washington, DC: Smithsonian Institution. Mack, C. A. and R. H. McClure 2002: ‘‘Vaccinium Processing in the Washington Cascades.’’ Journal of Ethnobiology 22(1): 35–60. Marshall, A. G. 1977: ‘‘Nez Perce Social Groups: An Ecological Interpretation.’’ Unpublished Ph.D. dissertation, Washington State University. —— 1999: ‘‘Unusual Gardens: The Nez Perce and Wild Horticulture on the Eastern Columbia Plateau.’’ In Northwest Lands, Northwest Peoples: Readings in Environmental History, ed. D. Goble and P. W. Hirt, pp. 173–187. Seattle: University of Washington Press. Martin, P. S. and C. R. Szuter 1999: ‘‘Megafauna in the Columbia Basin, 1800–1840: Lewis and Clark in a Game Sink.’’ In Northwest Lands, Northwest Peoples: Readings in Environmental History, ed. D. Goble and P. W. Hirt, pp. 188–226. Seattle: University of Washington Press. Maschner, H. D. G. 1991: ‘‘The Emergence of Cultural Complexity on the Northern Northwest Coast.’’ Antiquity 65(6): 924–934. McMillan, A. D. 1999: Since the Time of the Transformers: The Ancient Heritage of the NuuChah-Nulth. Vancouver: University of British Columbia Press. Monks, G. G., A. D. McMillan, et al. 2001: ‘‘Nuu-Chah-Nulth Whaling: Archaeological Insights into Antiquity, Species Preferences, and Cultural Importance.’’ Arctic Anthropology 38(1): 60–81. Peacock, S. L. 1998: ‘‘Putting Down Roots: The Emergence of Wild Plant Food Production on the Canadian Plateau.’’ Unpublished Ph.D. dissertation, University of Victoria. Ramenofsky, A. 1988: Vectors of Death: The Archaeology of European Contact. Albuquerque: University of New Mexico Press. Schalk, R. F. 1977: ‘‘The Structure of an Anadromous Fish Resource.’’ In For Theory Building in Archaeology, ed. L. R. Binford, pp. 207–249. Orlando: Academic Press. Schama, S. 1995: Landscape and Memory. New York: Alfred A. Knopf. Sea Shepherd Conservation Society 2002: ‘‘The Makah Whale Hunt: The Current Position of the Sea Shepherd Conservation Society.’’ http://www.seashepherd.org/issues/whales/ makah82102.html. Shipek, F. C. 1989: ‘‘An Example of Intensive Plant Husbandry: The Kumeyaay of Southern California. Foraging and Farming.’’ In Foraging and Farming: The Evolution of Plant Exploitation, ed. D. R. Harris and G. C. Hillman, pp. 159–167. London: Unwin Hyman. Smith, E. A. and M. Wishnie 2000: ‘‘Conservation and Subsistence in Small-Scale Societies.’’ Annual Reviews of Anthropology 29: 493–524. Steward, J. 1938: Basin-Plateau Sociopolitical Groups. Washington, DC: Smithsonian Institution. Suttles, W. 1962: ‘‘Variation in Habitat and Culture on the Northwest Coast.’’ Proceedings of the 34th International Congress of Americanists, Vienna, pp. 522–536. —— 1968: ‘‘Coping with Abundance: Subsistence on the Northwest Coast.’’ In Man the Hunter, ed. R. B. Lee and I. DeVore, pp. 56–68. Chicago: Aldine. Thoms, A. V. 1989: ‘‘The Northern Roots of Hunter-Gatherer Intensification: Camas and the Pacific Northwest.’’ Unpublished Ph.D. dissertation, Washington State University. Trafzer, C. E. 1997: Death Stalks the Yakama. East Lansing: Michigan State University Press.

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Turner, N. J., M. B. Ignace, and R. Ignace 2000: ‘‘Traditional Ecological Knowledge and Wisdom of Aboriginal Peoples in British Columbia.’’ Ecological Applications 10(5): 1275–1287. Turner, N. J. and D. C. Loewen 1998: ‘‘The Original Free Trade: Exchange of Botanical Products and Associated Plant Knowledge in Northwestern North America.’’ Anthropologica XL: 49–70. Turner, N. J. and S. L. Peacock 1997: ‘‘Anthropogenic Plant Communities of the Northwest Coast: An Ethnohistorical Perspective.’’ Paper presented to the American Association for the Advancement of Science, Seattle, Washington. Vale, T. R., ed. 2002: Fire, Native Peoples, and the Natural Landscape. Washington, DC: Island Press. Whitlock, C. and Knox, M. A. 2002: ‘‘Prehistoric Burning in the Pacific Northwest.’’ In Fire, Native Peoples, and the Natural Landscape, ed. T. R. Vale, pp. 195–231. Washington, DC: Island Press. Williams, G. W. 2002: References to the Indian Use of Fire in Ecosystems. Washington, DC: USDA Forest Service, 38 pages. Wissler, C. 1926: The Relationship of Nature to Man in Aboriginal America. New York: Oxford University Press. www.makah.com 1999: ‘‘Makah Whaling: Questions and Answers.’’ Makah Tribe. Yen, D. E. 1989: ‘‘The Domestication of the Environment.’’ In Foraging and Farming: The Evolution of Plant Exploitation, ed. D. R. Harris and G. C. Hillman, pp. 55–78. London: Unwin Hyman.

CHAPTER

2

Historical Demography

Russell Thornton

The Native American population of North America declined following European contact and colonialism. How much decline is debated, since estimates of aboriginal population size for North America vary widely. The classic estimate of aboriginal population size for this area is by James Mooney. Early in the 20th century, he estimated individual Native American tribal populations, summed them by regions, and then totaled the regions to arrive at an estimate of 1,152,000 for North America north of the Rio Grande River at first (extensive) European contact (see Mooney, 1928). Subsequent scholars generally accepted Mooney’s estimate, although Alfred Kroeber (1939: 131–166, esp. 131–134) considered numbers for the California area to be too high, and he lowered Mooney’s total to little more than 1 million. Kroeber then suggested ‘‘Mooney’s total of about 1,150,000, reduced to 1,025,000 by the California substitution, will ultimately shrink to around 900,000, possibly somewhat farther’’ (1939: 134). In 1966, however, Henry Dobyns (1966) used depopulation ratios to assert an aboriginal population size for North America north of Mexico of between 9.8 and 12.25 million. He did so by calculating the average rate of decline for American Indian groups that had fairly well-known population histories and then multiplying nadir populations – the lowest size a population has reached over time – by the average rate to achieve aboriginal population size estimates. In 1983, Dobyns (1983) again used depopulation ratios from epidemics but this time also possible carryingcapacities of Native American environments and technologies to assert some 18 million aboriginal Native Americans for north of Mesoamerica (an area including northern Mexico as well as present-day United States, Canada, and Greenland). Scholars now agree that Mooney’s population estimate significantly underestimated aboriginal population size for the area north of the Rio Grande. As such, the baseline from which aboriginal population decline may be assessed is underestimated. The problem with Mooney’s estimate is that he did not consider the possibility of significant population decline prior to his dates of first extensive European contact, ranging from A.D. 1600 to 1845, depending on the region in question. Most

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scholars also consider Dobyns’s estimates to be excessive, although little consensus for a higher population figure exists: estimates vary from around 2 million by Douglas Ubelaker (1988) to almost 4 million (reduced from an earlier estimate of almost 4.5 million) by William M. Denevan (1992 [1976]: xvii–xxix) to the slightly more than 7 million estimate I arrived at and continue to use (see Thornton and MarshThornton, 1981: 47–53; Thornton, 1987: 25–32). My estimate includes somewhat more than 5 million people for the conterminous United States area and somewhat more than 2 million for present-day Canada, Alaska, and Greenland combined. (See Daniels, 1992, for a thorough consideration of North American estimates.) Nevertheless, substantial depopulation did occur after European arrival and colonization: few scholars would argue this point. The Native American population of the United States, Canada, and Greenland combined reached a nadir population of perhaps only 375,000 at around 1900 (Thornton, 1987: 42–43), although it may have been somewhat higher (see Ubelaker, 1988, for a higher nadir figure). Thus, there was an actual demographic collapse; that is, a sudden, drastic reduction so that the population is unable to reproduce itself.

P O P U L AT I O N D E C L I N E A N D E P I D E M I C D I S E A S E The effects of ‘‘Old World’’ diseases on Native American populations of the Western Hemisphere have been important in the debate on aboriginal population size and decline, and their role has been extensively discussed. There were considerably fewer infectious diseases there than in the other hemisphere. New diseases which impacted native populations in the Western Hemisphere include smallpox, measles, the bubonic plague, cholera, typhoid, diphtheria, scarlet fever, whooping cough, malaria, and yellow fever as well as some venereal diseases. Perhaps the first new disease introduced to the area – at least the first one causing large depopulation – was swine influenza, introduced in the Antilles in 1493. America was not a ‘‘disease-free’’ paradise before the Europeans arrived, however; serious diseases were present, including tuberculosis and treponemal infections. (See Ubelaker, 2000, for a discussion of health and disease in America before Columbus.) Be this as it may, one scholar concludes: ‘‘the two worlds of disease were different enough so that the post-Columbian effects of Old World diseases on the Native Americans was [sic] devastating’’ (Merbs, 1992: 36). Interestingly, scholars have shown that Native American life expectancies did not differ greatly from those in Europe with its various infectious diseases. Life expectancies for Native Americans – generally in the twenties to early thirties – were kept relatively low by famine, nutritional deficiency diseases (e.g., pellagra), warfare, parasites, dysentery, influenza, fevers, and other ailments in addition to tuberculosis and treponemal infections (Thornton, 1987: 37–41; Ubelaker, 2000). Reasons for the presence of relatively few infectious diseases in the Western Hemisphere are not fully understood. They surely include, however, the existence of fewer domesticated animals, from which many human diseases arise. They probably include a low overall population density in this area, a condition hindering the survival of many diseases as the microorganisms that cause many diseases need to readily move from human host to human host in order to survive – hence, a dense population.

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They perhaps include the presence of fewer large centers of population concentration, which foster many diseases through their density. There is fair consensus that human settlement of America originated from Asia, and the Native American descendants of these first settlers have common ancestors with contemporary Asian peoples. Most scholars assume that the Homo sapiens sapiens who would become Native Americans migrated across cold and barren Beringa (the flat expanse of land – at times as much as 1,000 miles wide – connecting both hemispheres that existed as many as four times during the past 70,000 years). They would then have moved into the interior of North America across present-day Alaska and Canada, probably along the eastern edge of the Canadian Rocky Mountains. Others argue, however, that humans came here first, or at least also, by boat, along the northwest coast of North America. There were perhaps three migrations: one, the Paleo-Indians, as long as 40,000 years ago; a second, the Na-Dine, as recently as 12,000 years ago; and a third, the Inuit (Eskimo) and Aleutian Islanders, about 9,000 to 10,000 years ago. These migrations across Beringa and/or over water and/or along the coast may have served as a filter restricting pathogens from entering the Western Hemisphere, as such organisms cannot survive in extremely cold temperatures. Recently, scholars have argued for other arrivals in this hemisphere, including populations from the Iberian Peninsula, migrating along the other edge of Beringa. Native Americans lacked prior exposure to specific diseases such as smallpox and measles, whereby recovery typically provides lifelong immunity. Thus new diseases produced ‘‘virgin soil epidemics’’ whereby a new disease spreads to virtually all members of a population (and may be particularly virulent). Native Americans in 1492 also appear to have been genetically homogeneous (relatively speaking), reflecting their ‘‘recent’’ arrival in the Western Hemisphere. Because of this homogeneity, viral infections were pre-adapted to successive hosts rather than encountering a wide variety of new immune responses. Technically, Native Americans had ‘‘a lack of genetic polymorphism in the MHC (major histocompatibility complex) alleles,’’ as an immunologist once expressed it to me. This characteristic both reflects a lack of historic contact with many diseases whereby their immune systems would ‘‘adapt’’ to them and made Native Americans more susceptible to diseases from the other hemisphere. The timing and magnitude of ‘‘Old World’’ disease episodes and attendant depopulation in North America is still being debated. Soon after the arrivals of the Spanish, the Portuguese, and the English in the Western Hemisphere in the decades following first significant contact in 1492, diseases devastated American Indian populations in areas of present-day Mexico, the Caribbean, and Central and South America. Additionally, it has been argued that diseases moved northward early in the 16th century from European settlements in the Caribbean and Mesoamerica and spread to North America through early European explorations, colonies, slave raids, shipwrecks, and other native contacts. European-origin diseases infected native populations in both the Southeast and the Southwest of the present-day United States during the initial decades of the 16th century. There, particularly in the Southeast, they culminated in epidemics and pandemics, devastating Native American populations in not only these regions but other regions as well. Consequently, many scholars think that the aboriginal

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population of North America was exceedingly large, but was severely reduced by epidemic disease prior to significant historical documentation. Scholarly research has generally refuted arguments regarding continent-wide pandemics of smallpox and other diseases during the 16th century. As Larsen (1994: 109) summarizes the consensus regarding smallpox epidemics, ‘‘archaeological, historical, and bioarchaeological studies provide compelling evidence that the arrival of Europeans did not occasion a sudden pandemic of smallpox in the early 16th century.’’ Significant population decline in the Southeast, and perhaps in the Southwest, did begin sometime during the 16th century. Some research (e.g., Ramenofsky, 1987; see also Smith, 1987) supports the notion that it was caused by epidemic disease in the Southeast (and Mississippi Valley region). It is also possible that smallpox was present early in the Southwest. Still debated is whether 16th-century diseases in the Southeast – and by implication, the Southwest – occurred as region-wide pandemics, or more isolated epidemics or even mere episodes (see, for example, Smith, 1987; Thornton, Warren, and Miller, 1992). More likely, the pattern of disease ‘‘was a patchwork affair, striking some populations and not others at various times’’ (Larsen, 1994: 109). Neither the epidemic disease pattern in North America nor the depopulation of Native American peoples by epidemic disease, however, are fully understood by scholars. Human populations constantly change in composition as members are born, die, or move into or out of the population. Underlying population patterns determine fertility, mortality, and migration. Interacting together, these patterns produce population growth, decline, or stability over time. Moreover, the patterns are typically stable; as such, they influence a population’s ability to respond to disturbances such as those caused by disease episodes. It is not likely that direct effects of any single epidemic or even any single disease produced the long-term population reduction of most Native American groups. Population disturbances such as epidemics can result in only short-term population decline as populations may quickly return to predisturbance levels of population growth, decline, or stability. For example, I (Thornton, Miller, and Warren, 1991) have simulated this kind of rebound for smallpox epidemics; Herring (1994) has shown that recovery of a Native American population occurred following the influenza epidemic of 1918–19; and Boyd (1992) has shown the temporary effects of a smallpox epidemic as well as the longer effects of a measles epidemic. Similarly, the historian William McNeill (1976: 150) concluded: ‘‘the period required for medieval European populations to absorb the shock of renewed exposure to plague seems to have been between 100 and 133 years, that is, about five to six human generations.’’ Population recovery may even occur following repeated cycles of different diseases. The ‘‘Black Death’’ plague in Europe from 1347 to 1352 caused huge population losses, as there was population reduction because of the cyclic recurrence of the plague and the occurrence of other diseases such as typhus, influenza, and measles. Even though recovery was not complete until late in the 15th century, European populations did recover from the plague (Gottfried, 1983: xv–xvi, 129–35, 156–59). It is the indirect effects of disease episodes that appear more important in population decline, interacting with the underlying population patterns of Native American societies. Indirect effects include the social disruption accompanying epidemics and

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other disasters (see McGrath, 1991). They also include, for example, decreased fertility accompanying reduced fecundity due to the disease or resulting from marital disruption, for example the loss of a spouse. The nature of Native American societies, including pre-existing patterns of social organization, also influenced population reduction and/or recovery, as I have shown regarding the Tolowa of northern California (Thornton, 1984b, 1986). Native American population decline resulted not only from the introduction of European and African diseases but also from the many other effects of colonialism, subtle or otherwise. As Larsen (1994: 110) puts it, the scholarly emphasis purely on disease ‘‘has overshadowed a host of other important consequences of contact such as population relocation, forced labor, dietary change, and other areas.’’ Colonial arrangements interacted with disease to produce population decline. In this regard, Meister (1976: 165) notes that ‘‘later population decline resulting from disease was made possible because Indians had been driven from their land and robbed of their other resources.’’ Native American societies were removed and relocated, warred upon and massacred, and undermined ecologically and economically. All of these manifestations of colonialism caused population decline as a result of fertility decreases as well as mortality increases, as I have pointed out and as Stannard (1990) has shown regarding Native Hawaiians. The Cherokee ‘‘Trail of Tears’’ from the Southeast to Indian Territory produced substantial population losses, partly from the mortality of diseases such as cholera but also from decreased fertility and increased mortality due to malnutrition and starvation (Thornton, 1984a). Southern California Indians were placed on missions, which confined them in new disease environments which took a demographic toll via both fertility and mortality, and were eventually replaced by European populations, which resulted in selective, regional out-migration and lower fertility as well as Native American assimilation. Northern California Indians were subjected to unlicensed violence and outright genocide as well as the destruction of their traditional patterns of subsistence (see Thornton, 1984b, 1986; Walker and Thornton, 2002). And, while it is difficult to address direct effects on mortality and fertility, American Indians living on the Plains lost much of their social and cultural life and most of their economic basis when the great herds of buffalo were destroyed and government-issued rations became the source of subsistence.

P O P U L AT I O N R E C O V E RY Following almost four centuries of population decline, the Native American population north of Mexico began to increase. This occurred around the beginning of the 20th century, and has continued since. The U.S. Census decennial enumerations indicate a Native American population growth for the United States that has been nearly continuous since 1900 (except for an influenza epidemic in 1918 that caused serious losses and some changes in enumeration procedures) to more than 1.4 million by 1980 and to around 2.5 million by 2000 (plus more than 1.6 million reporting themselves as racially mixed Native Americans). (Changing definitions and procedures for enumerating Native Americans used by the U.S. Bureau of the Census also had an effect on the enumerated population size from census to census during the

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20th century.) To this may be added some 0.8 million Natives in Canada – in the 1996 Census there were 554,000 Indians, 41,000 Inuit (Eskimos), and 210,000 Me´tis (a special group of individuals of Indian and white ancestry) – and a small native population in Greenland. The total then becomes around 3.5 million in North America north of Mexico. (The figure becomes around 5 million, if racially mixed Native Americans in the U.S. Census are included.) This is obviously a significant increase from the perhaps fewer than 400,000 around the turn of the century, about 250,000 of which were in the United States; however, it remains significantly less than the estimated more than 7 million circa 1492. It is far, far less than the presentday total of 307 million non-Native Americans of the area: some 279 million in the United States, according to the 2000 Census; some 28 million in Canada, according the 1996 Census. Thus native North Americans represent only some 1.6 percent of the population. By the beginning of the 20th century, surviving Native American groups in the United States had been redistributed. Much of this occurred during the 19th century with Native American removals, the establishment of the reservation system, and the subsequent allotment and elimination of some reservations. According to the 2000 Census, the ten states with the largest numbers of Native Americans are California, 333,346; Oklahoma, 273,230; Arizona, 255,879; New Mexico, 173,483; Texas, 118,362; North Carolina, 99,551; Alaska, 98,043; Washington, 93,301; New York, 82,462; and South Dakota, 62,283. If racially mixed Native Americans are included, then the top ten states are California, 627,562; Oklahoma, 391,949; Arizona, 292,552; Texas, 215,599; New Mexico, 191,475; New York, 171,581; Washington, 158,940; North Carolina, 131,736; Michigan, 124,412; and Alaska, 119,241. In the 1996 Canadian census, the Native American population of the twelve provinces was Ontario, 141,525; British Columbia, 139,655; Manitoba, 128,685; Alberta, 122,840; Saskatchewan, 111,245; Quebec, 71,415; Northwest Territories, 39,690; Newfoundland, 14,205; Nova Scotia, 12,380; New Brunswick, 10,250; Yukon Territory, 6,175; and Prince Edward Island, 950. A redistribution of Native Americans has also occurred through urbanization in the United States. Only 0.4 percent of the American Indians in the United States lived in urban areas in 1900. By 1950, this had increased to 13.4 percent; however, in 1990, 56.2 percent of American Indians lived in urban areas (Thornton, 1994). Important in this urbanization was Indian migration to urban areas, some of which occurred under the Bureau of Indian Affairs relocation program which began in 1950 to assist American Indians in moving from reservation (and rural) areas to selected urban areas (Thornton, 1994). United States cities with large Native American populations are New York City, Oklahoma City, Phoenix, Tulsa, Los Angeles, Minneapolis-St. Paul, Anchorage, and Albuquerque. In Canada, somewhat over half of the Native population live in urban areas. Canadian cities with the largest Native populations are Winnipeg, Edmonton, Vancouver, Saskatoon, Toronto, Calgary, and Regina. This population recovery was in part a result of lower mortality rates and increases in life expectancy as the effects of ‘‘Old World’’ disease and associated colonialism lessened. As Snipp has noted, the mortality differences between whites and Native Americans have narrowed in recent decades. However, ‘‘the American Indian population still experiences substantially higher mortality than other Americans, notably the white population’’ (Snipp, 1996: 30).

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Early in the 20th century, at around the point of the Native American population nadir in the United States, the fecundity and fertility of Native Americans – particularly of the so-called ‘‘full bloods’’ – was of considerable concern to government officials. But population recovery has also resulted from changing fertility patterns and adaptation through intermarriage with nonnative peoples during the 20th century. This helped to raise American Indian birth rates (of ‘‘mixed-bloods’’) above those of the average North American population (Thornton, Sandefur, and Snipp, 1991; Snipp, 1996: 24–28). Soon, however, fertility increased. Indeed, the 20th-century recovery of the Native American population of the United States has been driven by Native American fertility increases and Native American fertility levels higher than those of the total United States population. In 1980, for example, married American Indian women 35 to 44 years of age had a mean number of children ever born of 3.61 in comparison to 2.77 for the total U.S. population and only 2.67 for the white segment of the population (Thornton, Sandefur, and Snipp, 1991: 360). Intermarried American Indian women generally had lower fertility rates in 1980 than American Indian women married to American Indian men; however, intermarried, American Indian women still had higher fertility than the total U.S. population. Today, Native American fertility remains high. Snipp, for example, observes ‘‘that American Indian fertility equals or exceeds the fertility of either black or white women’’ (Snipp, 1996: 25). He further notes that ‘‘a key to explaining the high rates of American Indian fertility is that American Indian women begin their childbearing at a relatively early age. Women who begin childbearing at an early age typically have more children than those who defer motherhood until they are older’’ (Snipp, 1996: 24–25).

N AT U R E

OF THE

N AT I V E A M E R I C A N P O P U L AT I O N

This history of population decline and recovery needs to be understood in the context of changing patterns of identifying individuals as native. Certainly, how one defines ‘‘Indian’’ will determine the demographic patterns one observes. But demographic patterns themselves may profoundly affect identities, both for individuals and for groups. The 20th-century increase in the Native American population reflected in successive censuses of the United States was due in part to changes in the identification of individuals as ‘‘Native American.’’ The U.S. Census has in the past typically enumerated individuals as of only one race. Since 1960 the U.S. Census has relied on selfidentification to ascertain an individual’s race. Much of the increase in the ‘‘American Indian’’ population – excluding Inuit (Eskimo) and Aleuts – from 523,591 in 1960 to 792,730 in 1970 to 1.37 million in 1980 to more than 1.8 million in 1990 resulted from individuals not identifying as American Indian in an earlier census but identifying as such in a later census. It may be estimated, for example, that about 25 percent of the population ‘‘growth’’ of American Indians from 1960 to 1970, about 60 percent of the ‘‘growth’’ from 1970 to 1980, and about 35 percent of the ‘‘growth’’ from 1980 to 1990 may be accounted for by these changing identifications (see Thornton, 2000: 32).

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The 2000 Census was the first U.S. census in which the population could identify itself as having more than one race – some 6.8 million people did so, about 2.4 percent of the total population. In the census, 2.6 million people identified themselves as Native American and another 1.5 million identified themselves as Native American and another race, generally white. Thus, some 37 percent of those with a Native American identification were self-identified as racially mixed. This far exceeds the percentages for other groups: for example, only about 5 percent of African Americans indicated mixed ancestry. The 1996 Census of Canada also used a new question to identify Natives. Whereas earlier censuses asked about ethnic origin or ancestry, the 1996 Census asked if the person was Aboriginal. It also asked if the person had Aboriginal ancestry. Some 1.1 million people reported an Aboriginal ancestry, as opposed to the 0.8 million identifying as Aboriginal. Certainly, the Native American population could not have recovered to the extent it has without intermarriage (see, for example, Shoemaker, 1999: 63–66, 87–97). However, it has created identity struggles for children of these intermarriages as they sought to define who they were and get others to accept it: children of Native American and African American intermarriages typically had difficulty getting others to accept their ‘‘Indianness,’’ generally more difficulty than experienced by children of Native American and white intermarriages. Many different criteria may be used to delimit a population. Language, residence, cultural affiliation, recognition by a community, degree of ‘‘blood,’’ genealogical lines of descent, and self-identification have all been used at some point in the past to define both the total Native American population and specific tribal populations. Of course, each measure produces a different population, and which variables are ultimately employed to define a population is an arbitrary decision. The implications for Native Americans, however, can be enormous. Native Americans are unique among ethnic and racial groups in their formal tribal affiliations and in their relationships with the United States government. Today, there are 562 American Indian groups in the United States that are legally recognized by the federal government and receive services from the U.S. Bureau of Indian Affairs. (There are some tribes recognized by states but not by the federal government.) These encompass both American Indian tribes and Alaska Native groups. In addition, there are numerous Native American groups seeking federal recognition and many others who may do so in the future. Contemporary American Indians typically must be enrolled members of one of the federally recognized ‘‘tribal entities’’to receive benefits from either the tribe or the federal government. To do so, they must meet various criteria for tribal membership, which vary from tribe to tribe and are typically set forth in tribal constitutions approved by the U.S. Secretary of the Interior. Upon membership, individuals are typically issued tribal enrollment (or registration) numbers and cards that identify their special status as members of a particular American Indian tribe. The process of enrollment in a Native American tribe has historical roots that extend back to the early 19th century. As the U.S. government dispossessed native peoples, treaties established specific rights, privileges, goods, and money to which those party to a treaty – both tribes as entities and individual tribal members – were entitled. The practices of creating formal censuses and keeping lists of names of tribal

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members evolved to insure an accurate and equitable distribution of benefits. Over time, Native Americans themselves established more formal tribal governments, including constitutions, and began to regulate their membership more carefully, especially in regard to land allotments, royalties from the sale of resources, distributions of tribal funds, and voting. In the 20th century, the U.S. government established further criteria to determine eligibility for benefits such as educational aid and health care. Congress also passed the Indian Reorganization Act (IRA) of June 18, 1934, under which most current tribes are organized (see chapter 12). The IRA was ‘‘the culmination of the reform movement of the 1920s led by John Collier,’’ and ‘‘reversed the policy of allotment and encouraged tribal organization’’ (Prucha, 1975: 222). The IRA authorized tribes to draft written constitutions, containing membership provisions. Generally, tribal constitutional membership provisions were either established for the first time under the IRA, or, if already in existence, modified after the enactment of the IRA in 1934. A variety of court cases have tested tribal membership requirements. From the disputes, American Indian tribal governments won the right to determine their own membership: ‘‘The courts have consistently recognized that in the absence of express legislation by Congress to the contrary, an Indian tribe has complete authority to determine all questions of its own membership’’ (Cohen, n.d. [1942]: 136). Individuals enrolled in federally recognized tribes also receive a Certificate of Degree of Indian Blood (referred to as a CDIB) from the Bureau of Indian Affairs specifying a certain degree of Indian blood, also known as a blood quantum. The Bureau of Indian Affairs uses a blood quantum definition – generally a one-fourth degree of Native American blood – and/or tribal membership to recognize an individual as Native American. However, each tribe has a particular set of requirements – generally requiring a minimum degree of Indian blood and/or lineal descent from a tribal member – for membership (enrollment) in the tribe. Typically, a blood quantum is established by tracing ancestry back through time to a relative or relatives on earlier tribal rolls or censuses where the relative’s proportion of Native American blood was recorded. In such historic instances, more often than not Indian blood was simply self-indicated. Enrollment criteria have sometimes changed over time; often, the change has been to establish minimum blood quantum requirements. For instance, in 1931, the Eastern Band of Cherokee Indians established a one-sixteenth blood quantum requirement for those born thereafter (Cohen, n.d. [1942]: 5). Sometimes the change has been to establish higher requirements: the Confederated Salish and Kootenai Tribes have tightened their membership requirements since 1935, and in 1960 established that only those born with a one-fourth or more blood quantum could be tribal members (Trosper, 1976: 256). Conversely, tribes may reduce their blood quantum requirements, sometimes even eliminating a specified minimum requirement. Cohen (n.d. [1942]: 136) writes: ‘‘The general trend of the tribal enactments on membership is away from the older notion that rights of tribal membership run with Indian blood, no matter how diluted the stream. Instead it is recognized that membership in a tribe is a political relation rather than a racial attribute.’’ Blood quantum requirements for membership in contemporary tribes vary widely from tribe to tribe. Some tribes, such as the Walker River Paiute, require at least a one-half Indian (or tribal) blood

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quantum; many tribes, such as the Navajo, require a one-fourth blood quantum; some tribes, generally in California and Oklahoma, require a 1/8 or 1/16 or 1/32 blood quantum; and many tribes have no minimum blood quantum requirement but only require documented descent from an ancestor who was a tribal member. The nature of the population recovery of Native Americans has produced different distinctive Native American populations along both ‘‘racial’’ and tribal lines. ‘‘Racial’’ heterogeneity has been produced whereby many individuals with little Indian ‘‘blood’’ are counted as within the Native American population, defined either tribally or by the U.S. Census (or by most other methods). It has also produced tribal variations, not only in terms of membership requirements but more importantly in terms of whether or not an individual is a tribal member. A dichotomy has emerged between Native Americans and tribal Native Americans; that is, between, on the one hand, Native Americans either not enrolled in tribes or enrolled, but nonparticipants in tribal affairs, and, on the other hand, Native Americans enrolled and participating in the affairs of their tribe, which frequently gives them an ‘‘identity’’ as a specific ‘‘type’’ of Native American, i.e., Cherokee, Lakota, Navajo, as well as a ‘‘pan-Indian’’ identity as Native American. Appendix 1 lists all the tribal entities in the United States (as of 2001) and their enrollment figures. Not necessarily all of their affiliates – people who live in and are members of the community – are tribally enrolled. The Canadian census enumeration of Aboriginals refers to people identifying as North American Indian, Inuit (Eskimo) and/or Me´tis. Aside from census purposes, one must be registered under the Indian Act of Canada to be ‘‘officially Indian.’’ There are two primary categories of Canadian Indians: (1) registered (status) Indians, i.e., those registered under the Act; and (2) non-registered (non-status) Indians, i.e., those who were either never registered under the Act or who gave up their registration (and became ‘‘enfranchised,’’ as they say), as when a registered (status) woman married a non-registered (non-status) or non-native man. Further, registered Indians are divided into treaty and non-treaty Indians, depending on whether their group ever had a treaty relationship with the Canadian government.

CONCLUSION North America had a large native population at first contact with Europeans. Disease and colonialism undermined this population, and a decimation occurred. Population recovery did occur, however. As the numbers of Native Americans declined and Native Americans came into increased contact with whites, blacks, and others, Native American peoples increasingly married non-Indians. Intermarriage contributed very significantly to the recovery of the Native American population, but high fertility rates and decreased mortality rates also were important. Following population recovery and associated high rates of intermarriage, Native Americans have had to increasingly rely on formal certification as proof of their ‘‘Indianness.’’ This formal certification and the tribal membership on which it is based has been important in the development of different categories of Native Americans in the United States. In Canada, different categories have developed as a result of intermarriage, i.e., the Me´tis, and treaty relationships.

34

RU SSE LL T H OR NT ON

ACKNOWLEDGMENTS Portions of this chapter were drawn freely from my chapters on demography in Russell Thornton, ed., Studying Native America: Problems and Prospects (Madison: University of Wisconsin Press, 1998), Michael R. Haines and Richard H. Steckel, eds., A Population History of North America (2000), Philip Deloria and Neal Salisbury, eds., Blackwell Companion to Native American History (Malden, MA: Blackwell Publishers, 2002), as well as other of my recent publications.

REFERENCES Boyd, Robert T. 1992: ‘‘Population Decline from Two Epidemics on the Northwest Coast.’’ In Disease and Demography in the Americas, ed. John W. Verano and Douglas H. Ubelaker, pp. 249–255. Washington, DC: Smithsonian Institution Press. Cohen, Felix S. n.d. [1942]: Handbook of Federal Indian Law. Albuquerque: University of New Mexico Press. Daniels, John D. 1992: ‘‘The Indian Population of North America in 1492.’’ William and Mary Quarterly 49: 298–320. Denevan, William M., ed. 1992 [1976]: The Native Population of the Americas in 1492. 2nd edn. Madison: University of Wisconsin Press. Dobyns, Henry F. 1966: ‘‘Estimating Aboriginal American Population: An Appraisal of Techniques with a New Hemispheric Estimate.’’ Current Anthropology 7: 395–416. —— 1983: Their Number Become Thinned: Native American Population Dynamics in Eastern North America. Knoxville: University of Tennessee Press. Gottfried, Robert S. 1983: The Black Death. New York: Free Press. Herring, D. Ann 1994: ‘‘ ‘There Were Young People and Old People and Babies Dying Every Week’: The 1918–1919 Influenza Pandemic at Norway House.’’ Ethnohistory 41: 73–105. Kroeber, Alfred L. 1939: ‘‘Cultural and Natural Areas of Native North America.’’ University of California Publications in American Archaeology and Ethnology 38: 1–242. Larsen, Clark Spencer 1994: ‘‘In the Wake of Columbus: Native Population Biology in the Postcontact Americas.’’ Yearbook of Physical Anthropology 37: 109–154. McGrath, Janet W. 1991: ‘‘Biological Impact of Social Disruption Resulting from Epidemic Disease.’’ American Journal of Physical Anthropology 84: 407–419. McNeill, William H. 1976: Plagues and Peoples. Garden City, NY: Anchor Doubleday. Meister, Cary W. 1976: ‘‘Demographic Consequences of Euro-American Contact on Selected American Indian Populations and Their Relationship to the Demographic Transition.’’ Ethnohistory 23: 161–172. Merbs, Charles F. 1992: ‘‘A New World of Infectious Disease.’’ Yearbook of Physical Anthropology 35: 3–42. Mooney, James 1928: ‘‘The Aboriginal Population of America North of Mexico,’’ ed. John R. Swanton. Smithsonian Miscellaneous Collections, vol. 80, pp. 1–40. Prucha, Francis Paul, ed. 1975: Documents of United States Indian Policy. Lincoln: University of Nebraska Press. Ramenofsky, Ann F. 1987: Vectors of Death: The Archaeology of European Contact. Albuquerque: University of New Mexico Press. Shoemaker, Nancy 1999: American Indian Population Recovery in the Twentieth Century. Albuquerque: University of New Mexico Press.

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Smith, Marvin T. 1987: Archaeology of Aboriginal Cultural Change in the Interior Southeast. Gainesville: University of Florida Press. Snipp, C. Matthew 1989: American Indians: The First of This Land. New York: Russell Sage. —— 1996: ‘‘The Size and Distribution of the American Indian Population: Fertility, Mortality, Residence, and Migration.’’ In Changing Numbers, Changing Needs: American Indian Demography and Public Health, ed. Gary D. Sandefur, Ronald R. Rindfuss, and Barney Cohen, pp. 17–52. Washington, DC: National Academy Press. Stannard, David E. 1990: ‘‘Disease and Infertility: A New Look at the Demographic Collapse of Native Populations in the Wake of Western Contact.’’ Journal of American Studies 24: 325–350. Thornton, Russell 1984a: ‘‘Cherokee Population Losses During the Trail of Tears: A New Perspective and a New Estimate.’’ Ethnohistory 31: 289–300. —— 1984b: ‘‘Social Organization and the Demographic Survival of the Tolowa.’’ Ethnohistory 31: 187–196. —— 1986: ‘‘History, Structure and Survival: A Comparison of the Yuki (Unkomno’n) and Tolowa (Hush) Indians of Northern California.’’ Ethnology 25: 119–130. —— 1987: American Indian Holocaust and Survival: A Population History since 1492. Norman: University of Oklahoma Press. —— 1994: ‘‘Urbanization.’’ In Native Americans in the 20th Century: An Encyclopedia, ed. Mary B. Davis, pp. 670–672. New York: Garland. —— 2000: ‘‘Population History of Native North Americans.’’ In A Population History of North America, ed. Michael R. Haines and Richard H. Steckel. New York: Cambridge University Press. Thornton, Russell and Joan Marsh-Thornton 1981: ‘‘Estimating Prehistoric American Indian Population Size for United States Area: Implications of the Nineteenth Century Population Decline and Nadir.’’ American Journal of Physical Anthropology 55: 47–53. Thornton, Russell, Tim Miller, and Jonathan Warren 1991: ‘‘American Indian Population Recovery following Smallpox Epidemics.’’ American Anthropologist 93: 20–38. Thornton, Russell, Gary D. Sandefur, and C. Matthew Snipp 1991: ‘‘American Indian Fertility History.’’ American Indian Quarterly 15: 359–367. Thornton, Russell, Jonathan Warren, and Tim Miller 1992: ‘‘Depopulation in the Southeast after 1492.’’ In Disease and Demography in the Americas, ed. John W. Verano and Douglas H. Ubelaker, pp. 187–195. Washington, DC: Smithsonian Institution Press. Trosper, Ronald L. 1976: ‘‘Native American Boundary Maintenance: The Flathead Indian Reservation, Montana, 1860–1970.’’ Ethnicity 3: 256–274. Ubelaker, Douglas H. 1988: ‘‘North American Indian Population Size, A.D. 1500 to 1985.’’ American Journal of Physical Anthropology 77: 289–294. —— 2000: ‘‘Patterns of Disease in Early North American Populations.’’ In A Population History of North America, ed. Michael R. Haines and Richard H. Steckel, pp. 51–97. New York: Cambridge University Press. Walker, Phillip L. and Russell Thornton 2002: ‘‘Health, Nutrition, and Demographic Change in Native California.’’ In The Backbone of History: Health and Nutrition in the Western Hemisphere, ed. Richard H. Steckel and Jerome C. Rose. New York: Cambridge University Press. Zubrow, Ezra 1990: ‘‘The Depopulation of Native America.’’ Antiquity 64: 754–765.

Appendix 1 Number of tribal enrollees in federally recognized Native American tribes and Alaska Native villages, 2001 (source: Indian Population and Labor Force Report, 2001; Bureau of Indian Affairs, U.S. Department of the Interior) Tribe

State

Enrollment

Absentee Shwanee Tribe Afognak Native Village Agdaagux Tribe of King Cove Agua Caliente Band of Cahuilla Ak Chin Indian Community Akhiok Village Akiachak Akiak Akutan, Native Village of Alabama-Coushatta Tribes Alabama-Quassarte Tribal Town Alakanuk Alatna Village Aleknagik, Native Village of Algaaciq Village (St. Mary’s) Allakaket Village Alturas Indian Rancheria Ambler, Native Village of Anaktukvuk Pass Anchorage (CITC ‘638 Tribal Org) Andreafsky (Yupiit) Angoon Community Association Aniak Anvlk Village Apache Tribe Arapahoe Tribe – Wind River Res. Arctic Village Aroostook Band of Micmac Indians Asa’carsarmlut Tribe (Mt. Village) Assiniboine & Sioux Tribes – Ft. Peck Atka, Native Village of Atmautluak Atqasuk Village (Atkasook) Augustine Band of Cahuilla Mission Bad River Band Barona Group-Capitan Grande Bd. Barrow, Native Village of Bay Mills Indian Community Bear River Bd.-Rohnerville Ranch Beaver Village Belkofski, Native Village of Berry Creek Rancheria of Maidu Big Lagoon Ranch of Smith River Big Pine Band – Owens Valley Paiute Big Sandy Rancheria – Mono Indians

OK AK AK CA AZ AK AK AK AK TX OK AK AK AK AK AK CA AK AK AK AK AK AK AK OK WY AK ME AK MT AK AK AK CA WI CA AK MI CA AK AK CA CA CA CA

2,926 309 636 379 679 100 571 210 163 993 193 689 34 487 50 93 9 361 279 6,900 200 573 686 94 1,854 7,137 139 1,180 993 11,248 180 305 254 8 6,292 362 2,590 1,462 265 235 61 464 18 398 331

Big Valley Ranch – Pomo & Pit River Bill Moore’s Slough Birch Creek Village Blackfeet Tribe Blue Lake Rancheria Bois Forte Band of Chippewa Tribe Brevig Mission, Native Village of Bridgeport Paiute Indian Colony Buckland Buena Vista Rancheria of Me-Wuk Burns Paiute Tribe Cabazon Band of Mission Indians Cachil DeHe Band of Wintun Ind. Caddo Tribe Cahto Indian Tribe – Laytonville Cahuilla Band of Mission Indians California Valley Me-Wuk Tribe Campo Band – Diegoeno Miss. Ind. Cantwell, Native Village of Catawba Indian Nation Cayuga Nation Cedarville Rancheria Central Council Tlingit & Haida Chalkyitsik Chefornak Village Chemehuevi Tribe Chenega Village Cher-Ae Heights – Trinidad Ranch Cherokee Nation Chevak Native Village Cheyenne River Sioux Tribe Cheyenne-Arapaho Tribes Chickaloon Native Village Chickasaw Nation Chicken Ranch Rancheria – MeWuk Chignik Lagoon, Native Village of Chignik Lake Village Chignik, Native Village of Chilkat Chilkoot Indian Assoc. (HNS) Chinik Eskimo Comm. (Golovin) Chippewa Cree Tribe Chistochina Chitimacha Tribe Chitina Traditional Village Choctaw Nation Chuathbaluk Chuloonawik Circle Citizen Potawatomi Nation

CA AK AK MT CA MN AK CA AK CA OR CA CA OK CA CA CA CA AK SC NY CA AK AK AK CA AK CA OK AK SD OK AK OK CA AK AK AK AK AK AK MT AK LA AK OK AK AK AK OK

696 83 28 15,410 48 2,857 297 113 392 12 295 30 75 3,261 81 297 5 294 108 2,430 474 30 16,114 111 441 708 67 189 228,307 694 13,270 11,459 254 46,065 21 220 326 315 203 495 110 5,728 66 980 316 148,976 134 52 185 23,557 (Continues)

Appendix 1

(continued )

Tribe

State

Enrollment

Clark’s Point, Village of Cloverdale Rancheria – Pomo Inds. Cocopah Tribe Coeur D’Alene Tribe Cold Springs Rancheria – Mono Ind. Colorado River Indian Tribes Comanche Tribe Confed. Tribes & Bands – Yakama Confed.-Coos, L. Umpqua, Siuslaw Confederated Salish & Kootenai Confederated Tribes – Umatilla Res. Confederated Tribes – Goshute Res. Confederated Tribes of Siletz Confederated Tribes of Chehalis Confederated Tribes of the Colville Confederated Tribes – Grand Ronde Confed. Tribes-Warm Springs Coquille Tribe Cortina Ind. Rancheria – Wintun Ind. Council, Native Village of Coushatta Tribe Cow Creek Band of Umpqua Ind. Coyote Valley Band – Pomo Indians Craig Community Association Crooked Creek Village Crow Creek Sioux Tribe Crow Tribe of Montana Cuyapalpe Comm. of Diegueno Death Valley Timbi – Sha Shoshone Deering, Native Village of Delaware Indians Delaware Tribe of Western Ok. Dillingham Native Village Dot Lake Douglas Dry Creek Rancheria of Pomo Ind. Duck Valley Shoshone-Paiute Duckwater Shoshone Tribe Eagle, Native Village of Eastern Band of Cherokee Eastern Shawnee Tribe Eek Village Egegik Village Eklutna Native Village Ekuk, Native Village of Ekwok Village Elem Indian Colony of Pomo Ind.

AK CA AZ ID CA AZ OK WA OR MT OR UT/NV OR WA WA OR OR OR CA AK LA OR CA AK AK SD MT CA CA AK OK OK AK AK AK CA NV/ID NV AK NC OK AK AK AK AK AK CA

181 404 880 1,493 271 3,526 9,580 8,624 705 6,950 2,140 433 3,660 629 8,842 4,706 3,831 769 136 131 676 1,162 358 367 121 3,507 10,450 8 270 186 10,500 1,302 1,873 28 411 583 1,888 337 30 12,139 2,101 276 254 239 72 222 104

Elim, Native Village of Elk Valley Rancheria Ely Shoshone Tribe Emmonak Enterprise Rancheria – Maidu Ind. Evansville Village Eyak (Cordova), Village of Fairbanks (FNA ‘638 Tribal Org.) False Pass Flandreau Santee Sioux Tribe Fond du Lac of Lake Superior Forest County Potawatomi Fort Belknap Indian Community Fort Bidwell Indian Community Fort Independence Indian Comm. Fort McDermitt Paiute & Shoshone Fort McDowell Yavapai Nation Fort Mojave Indian Tribe Fort Sill Apache Tribe Fort Yukon, Native Village of Gakona, Native Village of Galena Village (Louden) Gambell, Native Village of Georgetown Gila River Indian Community Goodnews Bay, Native Village of Grand Portage Band of Chippewa Grand Traverse Band Grayling (Hollkachuk) Greenville Rancheria – Maidu Ind. Grindstone Indian Rancheria Guidiville Rancheria Gulkana Village Hamilton Hannahville Indian Community Havasupai Tribe Healy Lake Village Ho-Chunk Nation of Wisconsin Hoh Indian Tribe Holy Cross Village Hoonah Indian Association Hoopa Valley Tribe Hooper Bay, Native Village of Hopi Tribe Hopland Band of Pomo Indians Houlton Band of Maliseet Indians Hualapai Indian Tribe Hughes Village Huron Potawatomi, Inc. Huslia Village

AK CA NV AK CA AK AK AK AK SD MN WI MT CA CA NV AZ AZ/CA OK AK AK AK AK AK AZ AK MN MI AK CA CA CA AK AK MI AZ AK WI WA AK AK CA AK AZ CA ME AZ AK MI AK

403 100 418 861 414 15 368 7,083 96 716 3,905 1,186 5,426 244 135 928 939 1,082 488 528 85 455 668 50 20,479 224 1,089 3,792 178 168 157 114 132 26 692 674 27 6,145 139 219 587 1,893 933 11,267 692 741 1,921 62 428 279 (Continues)

Appendix 1

(continued )

Tribe

State

Enrollment

Hydaburg Igiugig Iliamna, Native Village Inaja Band of Diegueno Mis. Ind. Ione Band of Miwok Indians Iowa Tribe Iowa Tribe Iqurmuit Tribe (Russion Mission) Ivanoff Bay Village Jackson Rancheria – Me-Wuk Ind. Jamestown S’Kllallam Tribe Jamul Indian Village Jena Band of Choctaw Indians Jicarilla Apache Tribe Kaguyak Kaibab Band of Paiute Indians Kaka, Organized Village of Kaktovik Village – aka Barter Island Kalispel Indian Community Kalskag (Upper), Village of Kaltag, Village of Kanatak, Native Village of Karluk, Native Village of Karuk Tribe Kasaan, Organized Village of Kasigluk Kaw Nation Kenaltze Indian Tribe Ketchikan Indian Corporation Keweenaw Bay Indian Community Kialogee Tribal Town Kickapoo Kickapoo Traditional Tribe Kickapoo Tribe King Island Native Community King Salmon Kiowa Indian Tribe Kipnuk Kivalina, Native Village of Klamath Indian Tribe Klawock Cooperative Association Kluti-Kaah (Copper Center) Knik Tribe Kobuk, Native Village of Kodiak Tribal Council (Shoonaq’) Kokhanok Village Kollganek Village

AK AK AK CA CA KS/NE OK AK AK CA WA CA LA NM AK AZ AK AK WA AK AK AK AK CA AK AK OK AK AK MI OK KS TX OK AK AK OK AK AK OR AK AK AK AK AK AK AK

402 63 158 18 536 2,897 491 296 42 24 526 56 213 3,403 9 252 523 231 329 99 200 107 189 3,165 143 532 2,553 1,183 4,660 3,120 277 1,605 880 2,505 454 78 11,088 702 389 3,320 476 302 296 78 1,213 162 261

Konglgansk, Native Village of Kootenai Tribe Kotlik, Native Village of Kotzebue Koyuk, Native Village of Koyukuk Native Village Kwethluk Kwiglllingok Kwinhagak, Native Village of La Jolla Band of Luiseno Mis. Ind. La Posta Band of Diegueno Mis. Lac Courte Oreilles Band Lac du Flambeau Band Lac Vieux Desert Band Larsen Bay, Native Village of Las Vegas Tribe of Paiute Indians Leech Lake Band Lesnoi Village (Woody Island) Levelock Village Lime Little River Band of Ottawa Indians Little Traverse Bay Band Los Coyotes Band of Cahuilla Mis. Louden Tribal Council Lovelock Paiute Tribe Lower Brule Sioux Tribe Lower Elwha S’Klallam Tribe Lower Kalskag Lower Sioux Indian Community Lummi Nation Lytton Rancheria Makah Tribe Manchester Band of Pomo Indians Manley Hot Springs Village Manokotak Village Manzanita Band of Mission Inds. Marshall Mary’s Igloo, Native Village of Mashantucket Pequot Tribe Match-e-be-Nash-She-Wish Band McGrath Native Village Mechoopda Indian Tribe of Chico Mekoryuk Menominee Indian Tribe Mentasta Traditional Council Mesa Grande Band of Diegueno Mis Mescalero Apache Tribe Metlakatla Indian Community Miami Tribe Micoosukee Tribe of Indians

AK ID AK AK AK AK AK AK AK CA CA WI WI MI AK NV MN AK AK AK MI MI CA AK NV ND WA AK MN WA CA WA CA AK AK CA AK AK CT MI AK CA AK WI AK CA NM AK OK FL

369 121 571 2,629 370 92 819 408 661 696 20 5,587 3,143 442 479 55 8,294 255 166 44 2,738 3,521 286 572 369 2,627 984 329 820 3,889 246 2,389 621 17 475 98 345 98 677 276 219 380 445 8,074 250 628 3,979 2,096 2,677 400 (Continues)

Appendix 1

(continued )

Tribe

State

Enrollment

Middleton Rancheria – Pomo Mille Lacs Band of Ojibwe Indians Minto, Native Village of Mississippi Band of Choctaw Moapa Band of Paiute Indians Modoc Tribe Mohegan Indian Tribe Mooretown Ranch – Maidu Indians Morongo Band of Cahuilla Mission Muckleshoot Indian Tribe Muscogee (Creek) Nation Naknek Nanwalek Village (English Bay) Napaimute Village Napakiak, Native Village of Napaskiak, Native Village of Narragansett Indian Tribe Native Village of Diomede (Inualik) Navajo Nation Nelson Lagoon, Native Village of Nenana Native Association New Stuyahok Village Newhalen Village Newtok Nez Perce Tribe Nightmute Nikolai Village Nikolski, Native Village of Ninilchik Village Nisqually Indian Tribe Noatak Nome Eskimo Community Nondalton Nooksack Indian Tribe Noorvik Native Community Northern Cheyenne Tribe Northfork Rancheria of Mono Northway Northwestern Band of Shoshoni Nuiqsut (Noolksut) – Native Village of Nulato Village Nunakauyak Tribe (Toksook Bay) Nunapitchuk, Native Village of Oglala Sioux Tribe of Pine Ridge Old Harbor, Village of Omaha Tribe Oneida Nation

CA MN AK MS NV OK CT CA CA WA OK AK AK AK AK AK RI AK AZ/NM/UT AK AK AK AK AK ID AK AK AK AK WA AK AK AK WA AK MT CA AK UT AK AK AK AK SD AK NE NY

76 3,292 224 8,823 295 156 1,532 1,193 1,055 1,712 52,169 314 260 125 384 372 2,620 190 250,010 50 499 525 195 313 3,300 195 81 59 483 525 497 1,952 439 1,537 735 8,036 510 256 433 450 680 654 473 41,226 573 5,427 1,893

Oneida Tribe of Indians Onondaga Nation Orutsararmuit Native Village – Bethel Osage Tribe Oscarville Traditional Village Otoe-Missouria Tribe Ottawa Tribe Ouzinkie, Native Village of Paimiut Paiute Indian Tribe Paiute-Shoshone Indians – Bishop Paiute-Shoshone Ind. – Lone Pine Paiute-Shoshone Tribe – Fallon Pala Band of Luiseno Mission Ind. Pascua Yaqui Tribe Paskenta Band of Nomlaki Indians Passamaquoddy – Indian Township Passamaquoddy – Pleasant Point Pauloff Harbor Village Pauma Band of Luiseno Mission Pawnee Indian Tribe Pechanga Band of Luiseno Mission Pedro Bay Penobscot Tribe Peoria Tribe Perryville, Native Village of Petersburg Indian Association Picayune Ranch. – Chukchansi Ind. Pilot Point, Native Village of Pilot Station Traditional Village Pinoleville Rancheria – Pomo Ind. Pit River Tribe Pitka’s Point Platinum Poarch Band of Creek Indians Point Hope, Native Village of Point Lay, Native Village of Pokagon Band of Potawatomi Ponca Tribe Ponca Tribe Port Gamble S’Klallam Tribe Portage Creek Port Graham, Native Village of Port Heiden, Native Village of Port Lions, Native Village of Potter Valley Ranch. of Pomo Ind. Prairie Island Indian Community Prarie Band of Potawatomi Pueblo of Acoma Pueblo of Cochiti

WI NY AK OK AK OK OK AK AK UT CA CA NV CA AZ CA ME ME AK CA OK CA AK ME OK AK AK CA AK AK CA CA AK AK AL AK AK MI/IN NE OK WA AK AK AK AK CA MN KS NM NM

14,745 0 3,798 18,415 77 1,505 2,290 381 67 799 914 295 1,002 891 13,231 282 1,314 1,927 51 132 2,560 1,372 117 2,194 2,662 267 418 1,173 160 537 186 1,667 161 71 2,228 841 200 2,730 2,095 2,618 984 78 151 139 352 194 622 4,870 6,344 1,189 (Continues)

Appendix 1

(continued )

Tribe

State

Enrollment

Pueblo of Isleta Pueblo of Jemez Pueblo of Laguna Pueblo of Namble Pueblo of Picuris Pueblo of Pojoaque Pueblo of San Felipe Pueblo of San Ildefonso Pueblo of San Juan Pueblo of Sandia Pueblo of Santa Ana Pueblo of Santo Domingo Pueblo of Taos Pueblo of Tesuque Pueblo of Zia Puyallup Tribe Pyramid Lake Paiute Tribe Qagan Toyagungin Tribe (Sand Pt) Qawalangin Tribe (Unalaska) Quapaw Tribe Quartz Valley Indian Community Quechan Tribe of the Fort Yuma Quileute Tribe Quinault Indian Nation Ramah Navajo Ramona – Village of Cahuilla Rampart Village Red Cliff Band Red Devil Village Red Lake Band of Chippewa Ind. Redding Rancheria Redwood Valley Ranch. of Pomo Reno-Sparks Indian Colony Resighini Rancheria Rincon Band of Luiseno Miss. Ind. Robinson Rancheria – Pomo Ind. Rosebud Sioux Tribe Round Valley Indian Tribes Ruby, Native Village of Rumsey Indian Ranch. of Wintun Sac and Fox Tribe Sac and Fox Nation of Oklahoma Sac and Fox of Missouri Saginaw Chippewa Indian Tribe Saint Michael, Native Village of Salamatof, Village of Salt River Pima-Maricopa Indians

NM NM NM NM NM NM NM NM NM NM NM NM NM NM NM WA NV AK AK OK CA CA WA WA NM CA AK WI AK MN CA CA NV CA CA CA SD CA AK CA IA OK KS/NE MI AK AK AZ

4,441 3,486 7,825 643 324 327 3,131 628 2,723 485 716 4,492 2,443 404 773 2,490 2,133 620 539 2,657 159 2,668 658 2,454 2,463 7 41 4,064 28 9,610 281 156 577 90 639 433 24,134 3,494 162 44 1,260 3,025 433 2,921 399 155 7,371

Samish Indian Tribe San Carlos Apache Tribe San Juan Southern Paiute Tribe San Manual Band of Serrano Mis. San Pasqual Band – Diegueno Mis. Santa Clara Pueblo Santa Rosa Band of Cahuilla Mis. Santa Rosa Indian Community Santa Ynez Band of Chumash Mis. Santa Ysabel Band – Diegueno Mis. Santee Sioux tribe Sauk-Suiattle Indian Tribe Sault Ste. Marie Tribe of Chippewa Savoonga, Native Village of Saxman, Organized Village of Scammon Bay, Native Village of Scotts Valley Band of Pomo Indians Solawik Seldovia Village Tribe Seminole Nation Seminole Tribe Seneca Tribe Seneca-Cayuga Tribe Shageluk Native Village Shakopee Sioux Community Shaktoolik, Native Village of Sheldon’s Point, Village of Sherwood Valley Ranch. of Pomo Shingle Springs Band of Miwok Ind. Shishmaref, Native Village of Shoalwater Bay Indian Tribe Shoshone Tribe of Wind River Res. Shoshone-Bannock Trbs. – Fort Hall Shungnak, Native Village of Sisseton-Wahpeton Sioux Tribe Sitka Tribe of Alaska Skagway Village Skokomish Tribe Skull Valley Band of Goshute Ind. Sleetmute, Village of Smith River Rancheria Snoqualmie Tribe Soboba Band of Luiseno Mission Sokaogon Chippewa Community Solomon, Village of South Naknek Village Southern Ute Indian Tribe Spirit Lake Tribe Spokane Tribe of the Spokane Res. Squaxin Island Tribe

WA AZ AZ CA CA NM CA CA CA CA NE WA MI AK AK AK CA AK AK OK FL NY OK AK MN AK AK CA CA AK WA WY ID AK SD AK AK WA UT AK CA WA CA WI AK AK CO ND WA WA

1,154 11,916 254 151 529 2,800 183 682 159 936 2,662 152 30,324 721 175 430 147 844 407 13,642 2,817 7,118 3,674 125 326 211 138 367 310 643 237 3,400 4,535 266 10,759 3,241 48 750 118 126 869 616 802 1,163 68 275 1,375 4,984 2,305 643 (Continues)

Appendix 1

(continued )

Tribe

State

Enrollment

St. Croix Chippewa Indians St. George St. Paul St. Regis Band of Mohawk Indians Standing Rock Sioux Tribe Stebbins Community Assoc. Stevens, Native Village of Stewarts Point Rancheria Stillaguamish Tribe Stockbridge-Munsee Community Stony River, Village of Summit Lake Paiute Tribe Suquamish Tribe Susanville Indian Rancheria Swinomish Indian Tribal Comm. Sycuan Band of Diegueno Mission Table Bluff Rancheria of Wiyot Table Mountain Rancheria Takotna Village Tanacross, Native Village of Tanana, Native Village of Tatltlek, Native Village of Tazlina, Native Village of Telida Village Teller, Native Village of Te-Moak Tribe – Battle Mountain Te-Moak Tribe – Elko Colony Te-Moak Tribe – South Fork Te-Moak Tribe – Wells Colony Tetlin Village Thlopthlocco Tribal Town Three Affiliated Tribes Togiak, Traditional Village of Tohono O’odham Nation Tonawanda Band of Seneca Tonkawa Tribe of Indians Tonto Apache Tribe Torres-Martinez Band – Cahuilla Mis. Trenton Indian Service Area Tulalip Tribes Tule River Indian Tribe Tuluksak Tunica-Biloxi Indian Tribe Tuntutullak, Native Village of Tununak Tuolumne Band of Me-Wuk Ind. Turtle Mountain Chippewa

WI AK AK NY ND/SD AK AK CA WA WI AK NV WA CA WA CA CA CA AK AK AK AK AK AK AK NV NV NV NV AK OK ND AK AZ NY OK AZ CA ND/MT WA CA AK LA AK AK CA ND

982 131 653 9,020 13,419 642 199 599 182 1,531 59 94 863 360 764 67 360 115 21 126 942 91 147 3 208 575 1,594 226 202 114 646 10,789 868 25,588 0 420 111 532 1,532 3,411 1,425 508 920 384 247 350 28,650

Tuscarora Nation Twenty-Nine Palms Band – Luiseno Twin Hills Village Tyonek, Native Village of Ugashik Village Umkumiute Unalakleet, Native Village of Unga, Native Village of United Auburn Indian Community United Keetoowah Band Upper Lake Band of Pomo Indians Upper Sioux Indian Community Upper Skagit Indian Tribe Ute Ind. Tribe of the Uintah & Ouray Ute Mountain Tribe Utu Utu Gwaitu Paiute Tribe Valdez Native Tribe (638 Tribal Org) Venetie, Village of Viejas (Baron Long) Capitan Grande Village of Ohogamiut Wainwright, Village of Wales, Native Village of Walker River Paiute Tribe Wampanoag Tribe of Gay Head Washoe Tribe White Earth Band White Mountain Apache Tribe White Mountain, Native Village of Wichita and Affiliated Tribes Winnebago Tribe Winnemucca Indian Colony Wrangell Cooperative Association Wyandotte Tribe Yakutat Tlingit Tribe Yankton Sioux Tribe Yavapai-Apache of Camp Verde Yavapai-Prescott of Prescott Yerlington Paiute Tribe Yomba Shoshone Tribe of Yomba Ysleta Del Sur Pueblo of Texas Yurok Tribe Zuni Tribe of the Zuni Reservation

NY CA AK AK AK AK AK AK CA OK CA MN WA UT CO CA AK AK CA AK AK AK NV MA CA MN AZ AK OK NE NV AK OK AK SD AZ AZ NV NV TX CA NM

0 13 102 581 65 31 637 87 244 7,953 145 404 709 3,174 2,012 136 424 237 268 26 602 267 2,219 1,001 1,582 20,820 12,900 275 2,174 4,033 77 565 3,860 385 7,570 1,763 159 1,150 205 1,270 4,466 9,780

PART

II

Political, Social, and Economic Organization

CHAPTER

3

Women and Men

Martha C. Knack

Native Americans, like peoples everywhere, noticed that women were not biologically the same as men. Like others, they then incorporated those observed differences into their cultures, using them to construct complex webs of task divisions, kinship ties, rights, duties, expectations, roles, and customs. The ways Indian peoples used femaleness and maleness within their cultures differed from the ways Europeans employed those same biological facts. Since the early 1980s research into gender roles, stimulated by the rise of feminist anthropology, has produced a body of data that not only describes Native American cultural treatment of women and men, but also challenges and informs a series of broad theoretical questions of what human culture is and how it works. I will explore some of the Native American data that have provided productive insights into gender roles, fully realizing that these discussions are preliminary and will be expanded as research in this new and exciting field continues. Some of the basic and elementary tenets of anthropology clearly apply to gender groups in North America. Native American women and men lived their lives, and continue to do so, within the total context of their cultures. Because culture is a complex, interrelated whole, all the various aspects of those cultures, discussed in other chapters in this volume, singly and in interaction shaped and were in turn affected by male and female lives. Therefore analysis of gender roles must be multicausal. Furthermore, native cultures were (and are) not all shaped in the same way, so the multiple cultural features found to be most significant in one case might not be so in another tribe or at another point in history. Within a single culture, there was never just one uniform female gender role and another male one. At minimum, roles changed from infancy to old age, with differing expectations, privileges, and opportunities at each stage. There was further variation, for not all adult women were married, not all men reached elderhood, not all wives were skilled basketmakers, or their husbands skilled fishermen, even where these were the expected norms. Such variation of personal chances, skills, and choices, however, is not the issue here. Individuals selected from among the available opportunities for

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excellence and were socially rewarded rather than sanctioned as long as their decisions were from the culturally approved repertoire for persons of their gender and age. Here we will be examining the range of these culturally defined gender roles. Another initial observation is that in native North America male/female distinctions, along with age and kinship, were categories used everywhere to organize people into social groups. In these societies without classes based on differential political power, routine distinctions of material wealth, or religious sectarian divisions, such as in Euro-American societies, gender was one of the small handful of characteristics that served to regularize relationships between community members. Those structured relationships involved both persons defined as male and also those defined as female (along with perhaps other, third or fourth genders, a topic beyond the scope of this chapter). No consideration of women in native North America, or anywhere else, can be successful without related discussion of men within that same society.

A R E A L L S O C I E T I E S D O M I N AT E D B Y M E N ? At the beginning of any discussion of women as a group in relation to men as a group, the question almost immediately arises of whether those men dominate the women. Many theoreticians have declared a universal ‘‘yes,’’ argued from general principles, but North American data refute this. Surely, it has been said, women everywhere were the ones who got pregnant and therefore were burdened by small children who absorbed their time and energy, requiring that men accomplish and control the other (more important) tasks. While indeed technology has not yet found any other way to produce babies, the rest of the argument need not follow. In native North America the woman who birthed a child was rarely expected to be the sole caretaker of it. As early as 1919 Elsie Clews Parsons described how the numerous women of an extended Zuni household shared childcare in order to free young mothers for tasks outside of the house (Parsons, 1919). Co-resident sisters and grandmothers tended youngsters, older daughters entertained infants, skilled clanswomen taught pottery-making, and neighbors in general kept a sharp eye out for any child in trouble. Such social arrangements intervened between the universality of biological childbirth and the presumed consequence, that mothers, or even women collectively, were burdened by childcare and therefore could not take part in larger social life. A second argument for male dominance grew out of Le´vi-Strauss’s symbolic opposition of nature to culture. Because of menstruation and childbirth, it was asserted, women were everywhere interpreted as closer to nature than were men, as wild things that needed to be tamed and controlled if they were to live in the human, cultural (male) world. Contrary to this purportedly universal intellectual association, many native North American ideologies saw culture as fundamentally female in character and source. Consider the Lakota, well known for their prominent male warrior roles. In their theology, White Buffalo Calf Woman was the supernatural being who brought to people the seven major religious rituals, seen as central to their culture, that included the Sun Dance and the vision quest. She also gifted them with the Sacred Pipe, and taught them how to hunt the all-important buffalo. It was an

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undisciplined human male who was wild, tried to rape the culture-bearer, and was therefore destroyed (Powers, 1986: 40–52). North American data show that the symbolic underpinnings of the nature/culture theory for male dominance were not, as presumed, universal. A third argument put forward for universal male dominance was based on a distinction between public and private life and the assertion that women’s activities, mobility, and influence were always relegated to the domestic sphere, while men were active in public places and events. This assumed not only that private and public were indeed separate, but that the public was of greater importance than the domestic, so that male roles in that sphere led to, or de facto constituted, male dominance. To the contrary, women in pedestrian Great Basin hunting and gathering societies, for example, traveled widely and separately from the men in the process of food-getting and regular camp movement; there was no fixed ‘‘home’’ to be relegated to. The community was generally a small bilateral kinship group. Decisions on matters affecting the group (public politics) were synonymous with those pertaining to the kin group and took place through the mechanisms, and by the collective personnel, of the extended family. The domestic family unit was not a social isolate, separate from the public, and was hence incapable of isolating women within itself. On the second issue, it has been pointed out that the hierarchical evaluation of the public over the domestic is a theoretical bias rooted in European political traditions. Nation-states required the structural subordination of all component units, kin-based and otherwise, to the monopoly of power held by the state. Such state-based presumption of the greater significance of the public over the domestic, like states themselves, was exceedingly rare in native North America. Eleanor Leacock inverted these discussions of male dominance that all presumed a hierarchical relationship between the genders and asked whether gender-egalitarian societies could exist and, if so, what they would look like (Leacock, 1978). Of course, by egalitarian she did not mean identical, which gender groups never are. Rather, she looked for equality, where women ‘‘held decision-making power over their own lives and activities to the same extent that men did over theirs’’ (Leacock, 1978: 247; emphasis added). It was not how many things women might or might not do in a culture that was relevant, but whether men were allowed to do things that women, by virtue of their gender, were not. If brides had no input into selection of their spouses and grooms did not either, then women’s lack of spouse choice did not contribute to gender inequality in that culture. Leacock was urging that we look at particular qualities of specific ‘‘lives and activities’’ rather than at sweeping generalizations in order to discover what could produce gender autonomy. Using three well-researched North American peoples, Montagnais-Naskapi, Ojibwe, and Iroquois, Leacock suggested a relationship between economic factors and political decision-making as fundamental to gender equality. If women produced goods that were of value and also controlled how their work would be consumed or stored in the family, or given and traded beyond it, then they would have the right to make, and in fact be participating in, decisions that affected the community as a whole. There are some specific rights and activities of women that empirically form a graded series – where women’s ability to do certain things requires their prior ability to perform other specific actions. These rights and powers range across matters of

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social structure, economics, politics, and other aspects of culture (Knack, 1989). It is not simply a matter, then, of whether a culture was male-dominant or genderegalitarian, but a far more subtle range of diversity across American Indian societies. While no society in North America appeared to have ever been a matriarchy (in which women would have held power over men), there were many that were quite egalitarian, others less so, and some where women were quite subordinated. Not only did the degree of equality vary, but also the locus of dominance and subordination shifted. There were many different ways that men as a gender group exercised control over diverse aspects of culture. Numerous investigations of native North American cultures have shown that key factors range from social relations, through economic issues and political power, to ideology and conceptual systems.

SOCIAL STRUCTURE Probably the logically most necessary and empirically most fundamental issue affecting gender equality is control over one’s person. Perhaps the clearest manifestation of autonomy was the power to engage in that most personal of actions, sexual activity, and social acceptance of a woman’s right to choose a sexual partner was an important measure of her status. In order not to confuse the separate issue of marriage and all the rights and obligations owed to others that a wife takes on, the form of autonomy at stake was specifically pre-marital sexuality. Nowhere in native North America was male virginity expected upon marriage, or its loss sanctioned; rarely was female virginity demanded, although in many cultures women were married very soon after menarche so that the chances of pre-marital pregnancy were minimized. Throughout native North America marriage linked not only the individual bride and groom, but his kin group to her kin group. Marriage initiated mutual duties of hospitality and protection, economic sharing, political support, and ritual cooperation. Because each kin group benefited from these rights and became obligated by duties associated with the rights, both kin groups were active in selection of the spouse, and the in-laws, for their kinsperson. Many ethnographies mentioned both the mother and father of each spouse, sometimes even larger sets of male and female relatives, as actively involved in the choice. Especially where the couple married at a young age and for the first time, many cultures gave neither the bride nor the groom much choice, but argued that these important evaluations of long-term, best interests were better left to cool and mature heads. Public gift-giving between all parties indicated their willingness to honor these commitments. In few North American societies were first marriages expected to endure a lifetime. In most, divorce could be initiated by either spouse if their relatives, who had been involved in the original negotiations and would be affected by the breakup, concurred. Personal incompatibility, lack of economic skill, sloth, or stinginess by the spouse or his/her relatives were common grounds for divorce. The woman would usually return to her kin group until she contracted a new marriage, this one more likely of her own choosing. Collier used this impermanence of marriage as one of the keys for her subtle comparison of Comanche, Cheyenne, and Kiowa marriage systems. The fact that a

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woman’s relatives had the power to approve the marriage in the first place, to inhibit a marriage by not cooperating with in-laws, and to facilitate divorce by sympathizing with an unhappy bride and welcoming her home again, gave them greater control over the marriage than the groom’s kin had (Collier, 1988: 226–230). Brideservice or bridewealth was a lure for their support and increased in amount when the spouses’ kin groups were of unequal power or prestige. Husbands ‘‘give more to the brothers of high-ranking wives than to the brothers of low-ranking wives’’ (Collier, 1988: 196). This model shares elements with Le´vi-Strauss’s well-known analysis of marriage systems, in which he conceived of marriage as one form of reciprocal exchange, with women as the ‘‘ultimate good.’’ Groups of men, he said, gave sisters, unmarriageable because of incest taboos, to other men in exchange for marriageable women for wives (Le´vi-Strauss, 1969). The overt sexism of such a model becomes obvious if we contrast it with another situation in native North America. North America had the highest proportion of cultures tracing descent matrilineally of any continental culture area, 15 percent. Of that, roughly half the societies were also matrilocal, including many of those best known ethnographically, such as Apaches, Iroquois, Cherokees, Tlingits, and Hopis. Titiev’s classic description of Hopi culture challenged any theoretical vision of marriage as groups of men exchanging women for wives (Titiev, 1944: 30–68). In fact, it raised the possibility that some societies might be better seen as groups of women exchanging men for husbands. The women of a Hopi matrilineage segment owned a block of rooms in the village, and the activities of the extended family household who lived in those rooms were under the leadership of the genealogically senior women. Mothers and daughters were permanent residents, but brothers left to join their brides’ households. In-marrying husbands as outsiders entered into a social space already structured by life-long ties of kinship, loyalty, and familiarity. A husband then farmed land assigned to him from the parcels controlled by his wife’s matrilineal clan. The corn (maize), beans, squash, and other crops he raised provided the major subsistence for the household; immediately after harvest it was placed in the storeroom of his wife’s extended family, to be allocated by the senior women. If that group at any time decided that his performance was unsatisfactory, the wife could signal a divorce by placing his clothing and personal possessions outside the door for the whole community to see; he would collect them and return to his natal family. This social structure generated in men many of the psychological stresses associated with insecurity and latent, inexpressible aggression (Schlegel, 1979), whereas the position of the women as the home party was secure. Titiev’s data also showed that Hopi men and women played different roles in the construction of the community as a whole. Each matrilineal clan or clan segment possessed not only houses and agricultural land, but also a ceremonial kiva chamber and the obligation to perform one of the complex rituals that made up the ceremonial year. No single ritual was complete in itself; rather, all had to occur properly and on time for the ritual cycle to attain its purpose, which was to honor the supernatural beings who brought sun, rain, corn, and harvest, and who thus assured life itself to the community as a whole. Days of prayer and material preparation preceded the public performance of the masked dancers. Participation in this vital religious duty was part of the culturally assigned responsibility of men in the Hopi division of labor,

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and it was men of the matriclan – a woman’s brothers, mother’s brothers, sons, and sisters’ sons, not her husband – who did the ritual work of her matriclan. Those men were also responsible for teaching the intricate religious details to their clan heirs, their sister’s sons. In fact, as senior men of the kin group, they were responsible for the overall education of her children, including discipline. The father could not perform these functions; he had no right to know the clan rituals, being of a different clan, and was himself passing his ritual knowledge on to his sisters’ sons; further, his tenuous position as in-marrying spouse in the household would not support authoritative discipline. In order to fulfill simultaneously these critical, time-consuming tasks, men had to be physically close to their own clan households, not miles away in another village. Thus social structure combined with the division of labor by gender, Titiev argued, placed constraints on community organization. Villages could not be ‘‘owned’’ or dominated by a single clan, exporting brothers and importing husbands. Rather they had to be, as Hopi villages empirically were, composed of multiple clans, linked together to form a community by the mechanisms of clan exogamy and village endogamy and of ceremonial interdependence (Titiev, 1944: 171–178). From this focus on marital roles in the construction of a single society, it was an easy step to view marriage as a mechanism linking two or more societies. Brown, for instance, analyzed the intermarriage of native women to European fur traders in colonial central Canada (Brown, 1996 [1980] ). Those men came alone to the New World, so intermarriage was an asymmetric tie: while European men married native women, native men did not marry European women. The trader found that such a marriage brought him access to his wife’s kinsmen, as both suppliers of pelts and markets for trade goods. He also could rely on her knowledge of local geography, weather, and animal habits, and her skill in translating and in manufacturing locally adapted technology, such as canoes and snowshoes. In return, she and her kin expected favorable trade rates, special treatment, insider knowledge, and the prestige that these won them in the eyes of the native community. Native women, because of their gender, were able to accomplish this stable, mutually advantageous, interethnic union; native men were not. An interesting elaboration on this pattern occurred on the Northwest Coast, where native societies were internally ranked. The earliest European fur trade there was not with land-based trading posts that needed stable relations with native communities, but from transient ships. High-ranking Coast Salish women would have been demeaned by short-term personal relations with traders and seamen, but they wanted to gain access to trade; they provided the sexual services of female slaves that they themselves owned in exchange for European trade goods (Wright, 1981: 531). As with the previous examples, here too the gender relationship must be understood within the larger social structure, the flow of economic goods, and in short, the entire cultural context.

ECONOMIC STRUCTURE As we have already seen, it is difficult to discuss gender in native North American cultures without raising questions of economy. A number of elements of native

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economic organization were gendered, including aspects of both production and distribution of goods. Initial European observers almost always commented on the division of labor, so dramatically different from their own. While this feature was highly visible, worldwide, cross-cultural studies show that no production task has been everywhere assigned to women, even those one might expect, such as basketmaking. Brown asked whether gendered patterns might lie, not in the type of product, but in the characteristics of the work. She proposed that women’s work everywhere was close to home, capable of being frequently interrupted without loss of technical quality, and physically safe (Brown, 1970). She assumed that cultures used the short interval when some women were mothers of very young children to define the tasks of all women. It was small children’s home-based care that women must attend to, their interruptions that are uncontrollable, and their safety (not the women’s) that must be guarded. In other words, Brown thought that women’s work was made compatible with the demands of childcare, which Native American data do not confirm. Parsons documented that Zuni women, in addition to pooling childcare responsibilities as discussed above, also carried children on cradleboards up to, and even beyond, the age of walking. They carried small children this way to whatever location their work took them; they could concentrate on their tasks knowing that the restrained infants would not wander away and were safe from falls and scrapes. Zuni women, like women throughout North America, used both social organization and technological devices to shape childcare to fit their culturally expected economic roles, rather than having their economic tasks delimited by their motherhood. No Indian culture had so simplistic a division of labor as the equation ‘‘men hunted – women gathered.’’ There was far more to do: house-building, manufacturing clothing, gathering firewood, and so on. Even using a more complete list, a frequently heard oversimplification was that Indian division of labor was complementary, or worse still, ‘‘complementary but equal.’’ Because none of these societies remain today self-sustaining by native means in undamaged environments, it is impossible, and has been since long before the professionalization of anthropology, to measure what percentage of the diet was produced by each gender, what percentage of the household possessions were made by each, or how the contribution of each gender was culturally evaluated, so this asserted equality cannot be proven. What we do know is that gender groups were not competitive economic units. Ethnographies too often have implied that there really was a discrete division of labor, a set of things that men did exclusively, and a separate collection of different things that women did. Asked to remember who did what in the ‘‘old days,’’ most native people consulted by anthropologists have been able to quickly give a specific answer: men did this and women did that. But when those activities have actually been observed, the reality may be quite different. When I asked Southern Paiutes, for example, they stated quite firmly that men hunted and women gathered. Nevertheless, both historic records and ˜ on nuts, men contemporary observation showed that when Paiutes went to pick pin and boys climbed the trees and knocked down the cones, and later helped collect firewood to roast them open. Women harvesting grass seed brushed aside a clump and uncovered a field mouse doing the same thing; a quick whack with her digging stick and there was a bit of protein for supper. Who was hunting and who was gathering? Perhaps more important, Paiutes then and now have no custom of

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shaming a woman who climbs onto her roof to repair it if she is the one who ‘‘has time’’ or of teasing a man who drives women to the berry patches and stays to help. At the first public meeting I attended in a Paiute community I noticed a habit that I later came to think of as ‘‘baby passing.’’ Infants on cradleboards arrived with their mothers and immediately passed into the hands of fathers and uncles, including the tribal chairman sitting at the head of the table running the meeting. Productive and social tasks are not strongly gendered in this culture. You can see a similar ‘‘soft’’ division of labor in the classic film Nanook of the North, in which, despite the supposedly strict sexual division of Inuit labor, wives rushed up to help their husband tug on a harpoon line and casually chinked snow between blocks of the ice house the man was constructing. I suspect that many native cultures had a division of labor that involved far more overlap and many more tasks performed by cooperative family teams than are mentioned in published ethnographies. Throughout native North America women made necessary and valued contributions to the subsistence economy. World-wide ethnographic samples show that in hunting-gathering and horticultural cultures, women had important productive roles. Only with full-scale agriculture (differentiated from horticulture on the basis of the irrigation or other technological innovations), generally undertaken by men, were women removed from primary productive roles and made dependent. In native North America the only agriculture was in the pueblo Southwest; elsewhere economies were based on hunting and gathering with more or less fishing and farming, and the statistical pattern seen on other continents prevailed. Euro-American feminist politics has suggested that women must ‘‘work outside the home’’ and their work must be equally valued (paid) in order to achieve equal ‘‘status,’’ often a vague and undefined term. Such a relationship between economic participation and political rights is probably not the linear relationship often presumed. In cultures where women produced nothing of social value and were totally dependent on male labor they probably had low social status, but it does not follow that if women did all the work they would be rewarded with all the prestige. In slavebased economies, after all, the producers were the lowest-ranked group. It has been suggested that there is a curvilinear relationship, perhaps resembling the statistical ‘‘bell-shaped curve,’’ between the variables of women’s economic contribution and their status: women’s status was lowest where they did either little or most of the productive work, and their status was highest in the middle range of production where they contributed 40–70 percent of the socially valued goods. Although it is difficult actually to measure production by gender in pre-contact cultures or even early historical periods when economies still functioned in approximately traditional ways, it appears that women’s economic contributions in most of native North America fell roughly within this middle range, suggesting on this basis that their status was relatively high. There are more subtle questions than simply which gender group produced how much. To take one, how and from whom did people learn the skills they practiced as adults? The ‘‘complementary’’ model mentioned above would predict that men learned ‘‘men’s work’’ from other men (fathers, uncles, and grandfathers) and women from kinswomen. If the division of labor was more blurred, as I have suggested, then perhaps gender task-learning was also more flexible. For instance, the standard ethnographies reported that Great Basin children of both genders under

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the age of eight or ten accompanied their mothers and other women on gathering expeditions. What was not so often mentioned was that while on these trips both boys and girls got their first lessons in animal observation, species habits, tracking skills, and capture techniques from their mothers. Under female tutelage it was the children’s task to set deadfalls and nooses along the trails of lizards, mice, woodrats, and in short, to hunt ‘‘small game.’’ This leads us to consider the composition of work groups. Many feminist anthropologists have suspected that in gender-mixed task groups, men would take charge because they were reluctant to work under female direction, and that only in same-sex groups would women hold leadership positions. This proposal linked, of course, the structure of the social group to its leadership, a political factor. The most well-known case of all-female work groups is that of Iroquois women. Matrilineal descent and matrilocal residence produced extended families centered around kin-related women. These groups lived together in longhouses where they pooled the horticultural harvests that were the majority of the diet. Husbands and brothers helped clear new fields, but virtually all the rest of the work was done by teams of co-resident women. Their work was coordinated by the most genealogically senior, still active, and most botanically knowledgeable woman of the group (Leacock, 1978: 252–253). History frequently mentions women working in fields well away from villages who were attacked by passing war parties, vulnerable specifically because no men accompanied them. Similar all-woman work groups were described for hunting-gathering, fishing, and other horticultural tribes. Another question turns on what happens to food and goods after they are produced. If women produced a great deal but had to hand it over to husbands immediately, then their economic contribution would not serve as the foundation for influence or power. The group of women in an Iroquois longhouse stored their field crops in pits for winter and allocated portions as directed by senior women. They also took deer brought in by husbands and sons, butchered them, and decided which parts to distribute to other households as demonstration of the family’s generosity and which parts to store for future use. Corn grown by women was a major trade item with Hurons to the north, across the St. Lawrence River where it was just enough colder that crops were unpredictable; later it was traded to Europeans. Iroquois women’s goods were socially valued as demonstrated by their exchange in the household, village, intertribal, and colonial economies. Furthermore, household women controlled the distribution of their own and their husbands’ subsistence production and their own manufactured goods; women supplied the feasts that inevitably accompanied public religious festivals and men’s diplomatic meetings. It has even been proposed that, because of their control over household stores, women could veto military expeditions by withholding the dried corn supplies and replacement moccasins needed by warriors, although no specific instance has been documented. Nevertheless, Iroquois women’s control over food and other economic products was substantial and ‘‘ ‘household management’ was itself the management of the ‘public’ economy’’ (Leacock, 1978: 253). More dramatically, Northwest Coast women actively hosted potlatches, the ceremonial distribution of accumulated surplus that validated or elevated the donor’s rank. Because the required amounts of food, carvings, peltries, canoes, slaves, and other forms of wealth far exceeded the production of any individual, the host,

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whether male or female, required the labor of all the members of his/her household; by their cooperation those relatives indicated their support of the host’s claim to rank. Women mobilized such support as well as that of additional political allies, and by hosting successful potlatches demonstrated their leadership skills. In the late 1800s, as native populations declined drastically but all traditional titles and ranks remained in circulation, women became as competitive as men in accumulating these designations of social prestige (Wright, 1981; Blackman, 1982: 45–50). Some of the goods for these 19th-century potlatches were traded from EuroAmericans. Seal and otter skins had become the focus of interethnic trade on the Northwest Coast, as were beaver pelts across the Canadian interior to Iroquois country, deer hides in the Southeast, and buffalo robes on the Great Plains. This extensive trade changed relations between native men and women. Game products became commodities for the first time in native North America; the hunting was specifically for products to trade away to an external market. Unlike production for subsistence – production for domestic use – which has an end when the needs of the household and kin are fulfilled, production for the market is unending. It could and did lead to native exploitation of their environment. Iroquois quickly hunted out beaver completely from what is now New York State and went to war with neighbors to obtain more. Plains Indians participated in the reduction of buffalo herds. Native men did most of this hunting, but traders did not want the raw hides and the work of finishing the skins into pelts (a tradeable commodity) was done by women. Those women, like men, desired trade goods – iron pots, needles, scissors, and cloth for light summer clothes. They did not resist and sometimes encouraged their husbands’ entry into trade. But the choice to hunt and process commodity furs also committed women to open-ended and apparently insatiable demands for their labor as hidepreparers. It is well documented that the fur trade often shifted the native division of labor between the genders and perhaps their interrelations as well. Men spent more time hunting, which shifted more of the subsistence production onto women, while at the same time demanding that those women invest time finishing hides. It has been suggested that this double pressure on women’s workload, more so than historical warfare and its production of widows, caused the increase of polygyny on the Great Plains. A good hunter could kill far more buffalo than his wife could process. Did women’s labor, now in relatively short supply, become more valuable and increase women’s status so that high male prestige was demonstrated by aggregating wives, or did women’s status decline as they became simply a domestic workforce serving their husbands’ trade ambitions? Whether women’s status improved or declined with the fur trade pivoted on whether they had previously held control over the disposition of their products to people outside their kinship network or village. When this was the case, they were often able to leverage this existing ability in the new interethnic trade. Historical records show sizeable numbers of Iroquois women with trade accounts under their own names, and it has been suggested that the already high status of women in this society increased during the fur trade period. On the Plains, women did not participate in the actual trade of buffalo hides, which may have contributed to or have been a reflection of a lessening social and political influence (Albers, 1989: 140–144; Klein, 1983; see also Perdue 1998: 65–85 on the Cherokee deer hide trade).

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Economic factors of task division, organization of labor, work-team leadership, control over the finished product, and social value placed on goods as expressed by reciprocity and trade, all tell us about the relations between the men and women who made and consumed these things. Changes in these factors that took place after European colonization illuminate, and were constitutive parts of, the complex alterations in gender relationships taking place.

POLITICAL STRUCTURE General anthropological models of gender status predict that control of one’s own sexuality and marital life, combined with a socially valued economic role and control over one’s product, could (but not necessarily would) form the foundation for legitimate political participation (Knack, 1989). This suggests that in much of native North America both men and women would have had rights to hold public office or at least to participate in decision-making processes. Of all the cultural variables discussed here, we know least about the political because this area of native life was both intentionally and unintentionally disrupted early and thoroughly by Euro-Americans. Systematic observations of functioning native political systems were very rare, and historical records spotty. There are, however, a few generalizations that can be safely made about gendered aspects of native political organizations. In few North American societies were communities united under formal structures of political offices. More commonly, an individual gained influence after proving specific skills so that community fellows then chose to follow that person’s suggestions when situations again required that ability; at other times, when different matters needed attention, that person had no more influence than anyone else. In all cultures there was a variety of such opportunities for demonstrated expertise, and hence a number of situation-specific leaders. Sometimes there was a preliminary kinship or status requirement, certain Iroquois offices being ‘‘owned’’ by certain clans, for instance, or a Northwest Coast potlatch host needing to be of the wealthy upper ranks, but nowhere was inheritance sufficient to entitle a person to a position without the additional qualification of demonstrated talent necessary to perform the job. Historical records most often mention ‘‘headmen’’ and (presumably male) ‘‘chiefs,’’ and even the role of women leading the activities of women is rarely noted, but there are hints that some of these task-specific leaders were, in fact, women. We know, for instance, that in the Southeast, women were members of intertribal negotiating teams, and in the Great Basin, gathering-groups were coordinated by senior women. There has been very little research into the processes and mechanisms that women used to obtain these leadership positions, or how their methods compared to those of men. The processes of routine, community decision-making were often subtle, and the gender of participants under-recorded by contemporary observers. Generally, public decisions were by consensus, rather than majority vote. The daily discussions that constituted the gradual consensus-forming mechanism were invisible to early European observers, often taking place within domestic contexts. Depending on the particular structure of the kinship group, women and men had more or less comparable voices politically. In many tribes where larger gatherings were customary, women

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attended and either spoke directly or informed male spokesmen of their opinions. Such tribal councils were actively discouraged early in the reservation period, so our knowledge of how frequently women actually spoke, or how generally their suggestions were attended to, will never be known. Women’s political role is probably best documented for the Iroquois League. This confederacy of five, later six, tribes had a formal council of 50 sachems who had jurisdiction over issues that affected all member tribes, particularly war and peace with external groups. Specific matrilineal clans within each tribe had the right to fill a sachemship. Although the office-holder was always a man of that clan, he was nominated by a caucus of the clanswomen under the leadership of senior matrons, the same group that had the right to depose him. This formal privilege of naming public officers, combined with matrilineal descent, women’s importance in farming, and visibility in both trade and ritual, resulted in the Iroquois often being called, mistakenly, a ‘‘matriarchy.’’ Early European observers saw Iroquois women in far more numerous and prestigious roles than were their own women, and jumped to the conclusion that women had more power than men. In fact, Iroquois women’s activities in no cultural sector put them as a class into power over men as a class. Women’s horticultural contribution was balanced by men’s hunting, their influence in domestic decisions by men’s importance in warfare and community defense, and their nominations by men’s fulfillment of public offices. The Iroquois were an instance of the kind of systematic and carefully constructed cultural balance between gender groups that was frequent across native North America. Most analyses of women’s political roles assume that, because women’s lives were different from men’s in their society and their interests diverged as well, therefore women recognized themselves, and acted, as a distinct group to protect and further those gendered interests. For instance, Perdue suggested that Cherokee women were more opposed to removal to western lands than were men. Women were the subsistence horticulturists who actually farmed the land, but had little role in the new economy, including traffic in deer hides and commercial cotton grown by slave labor. Women therefore had less reason to placate American traders than did their political allies among Cherokee men, and formed a gender-based opposition group (Perdue, 1998: 109–134). Recently a higher percentage of native women have held tribal council offices than have general population women in U.S. legislative bodies. This may have stemmed in part from traditional cultures and hence may be regionally variable; women in the Great Basin, for instance, have been noticeably active, influential, and successful (Knack, 1989: 244). Miller suggests that historical, social, and economic factors have affected women’s electoral success in Northwest Coast tribal organizations (Miller, 1992). When the Bureau of Indian Affairs (BIA) began to administer newly formed reservations in the 19th century and used its power to suppress native leadership, a tradition of male control was established. Among Northwest Coast tribes that were federally recognized only recently, however, tribal governments have had higher percentages of female officers. In small tribes, where getting elected is largely a matter of face-to-face discussions rather than formal campaigning and where family alliances are strong, women have been politically more active. Also where very large disparities of income have existed due to trades or skills not accessible to women – such as commercial fishing on the Northwest Coast – and women’s economic contributions have been

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comparatively devalued, men have dominated tribal politics. It appears that issues of social structure and economy, today perhaps expressed in slightly different forms, still affect the political participation of gender groups in native societies.

RELIGIOUS SYSTEMS Women’s roles in native North American religions varied enormously. In these polytheistic theologies, supernatural beings were almost invariably conceptualized as themselves having gender, even animal-figured beings such as Coyote (who was male). It is impossible to judge whether there were more numerous male beings than female ones, or which were more important. In many cases supernatural beings were paired and described in procreative intercourse. What relation is there between conceptualization of supernatural beings and human behavior? How do we understand the highly male-centered Lakota whose culture-creator was female, White Buffalo Calf Woman (although interestingly enough she ambiguously metamorphosed into a male buffalo calf)? It has been suggested that in societies where the origin of humanity was explained on a human-birth model (rather than from male beings or through non-birth mechanisms), women’s status would be generally high. Whether symbolic representation carries over into social action, and is hence causal, or mythology merely reflects an already-existing high women’s status, is unclear and perhaps incapable of proof. Certainly the purposes of many religious rituals were gender-specific. Probably the largest category of ceremonies, after the shamanic curing of illnesses for men and women alike, was the girl’s puberty ceremony, virtually ubiquitous across the western half of the continent. Its purpose was to transform a neuter girl-child into a fertile and marriageable woman. It was thought that girls at menarche were particularly malleable and that, through classic rites of passage, intense tutelage by female relatives and supernatural intercession would transform them physically, mentally, and even in character and disposition (Powers, 1986: 66–72; Titiev, 1944: 203–204). In many cultures the physical seclusion from men, withdrawal from ordinary cooking and housekeeping, observance of food and body-touching taboos, and bathing, initiated at this time, were repeated during subsequent menstruation and childbirth. Early observers and anthropologists have described such fertility-related withdrawal customs as evidence that women were viewed as unclean and that men drove women from the community to protect themselves from pollution. Buckley, in reworking Kroeber’s archived Yurok fieldnotes, found evidence that Yuroks, both men and women, interpreted menstruation and the blood of childbirth, not as a form of pollution, but as a sign of a uniquely female power (Buckley, 1982). Women protected the young and the male from exposure to powers not appropriate to them that would therefore be dangerous. They excluded themselves especially from any rituals that relied on powers of male origin in order to protect the ceremonial efficacy (Powers, 1986: 200–201). Buckley also reinterpreted Yurok women’s tenday period of seclusion, far longer than biological menstruation, as a culturally approved time of meditation that paralleled Yurok men’s well-documented withdrawal to sweathouses for the same purpose. This reinterpretation of a classic ethnography has been supported by subsequent research in other cultures (Perdue,

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1998: 29–31). Such revisionism has challenged the perhaps unconscious imposition of Euro-American cultural assumptions about the significance of basic biological functions and has revived the study of birth customs and pregnancy beliefs, much neglected since Parsons’ early work. Other categories of native rituals sought blessings for activities associated with women, especially horticulture. Often plant growth was symbolically identified with human reproduction, earthly fertility equated with childbirthing, and the renewal of the earthly world with the refreshment of human society. Thus, the most important event of the Cherokee ritual cycle, the Green Corn Ceremony, not only authorized the harvest, but also required forgiveness of debts and grievances and celebrated generosity, seen associated with women’s role in distributing surplus food and nurturing human life (Perdue, 1998: 25–27). Five of the six major rituals that marked the Iroquois year were associated with plants harvested by women (Rothenberg, 1980: 80). Although Hopi deities, both male and female, were impersonated by male masked dancers, the purpose of the ceremonies was to assure rainfall for the critical corn crop. That corn was not seen, a` la Freud, as a phallic symbol, but as a female fertility symbol, the Corn Mother. Only women were buried in their wedding garments, woven with the symbols of clouds and rain (Titiev, 1944: 108). Not only were female reproductive and economic roles the topic of religious celebration, but women were also active participants, sometimes with designated roles. In some places, such as the Great Basin, women became shamans, although rarely as frequently as men; because of contradictory powers, other cultures limited this to post-menopausal women. Navajo curers were men, but most ‘‘handtremblers,’’ who performed the initial diagnosis and identified the specific ‘‘sing’’ needed, were women. To conduct that dramatically male ritual, the Sun Dance, various Plain tribes required women of acknowledged sexual virtue and physical fortitude to fast, to cut the center pole toward which the pledgers danced, to make the necessary ritual garments, and to perform other special roles, such as, among the Lakota, reenactment of the role of White Buffalo Calf Woman who brought the ceremony. As with social, economic, and political aspects of native cultures, it is impossible to make broad generalizations about the relative status of men and women within the religious domain. One cannot say that more supernatural beings were defined as female than male or that women were more prominent symbolically than men or had more of their interests ritualized than men’s. What can be said with assurance is that, despite the often-cited menstruation taboos, women were fully acknowledged by and did participate significantly in religious life.

CONCLUSIONS Nowhere in native North America were women’s status and role identical to those of men in their own societies. Some of the factors that seem to have been particularly influential in determining women’s actions and autonomy were social – the kinship structure, degree of spousal choice, form of marriage, possibility for divorce and remarriage, and residential organization. Economic division of labor, organization of labor teams and their leadership, existence of a public value and market for their goods, and ability to control the distribution of the products of their labor, all

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influenced women’s position in society. They found varying degrees of participation in public decision-making, discussion forums, and specified roles in political processes. Ideologically women’s roles were expressed in conceptualization of the supernatural, ritual celebration of female life events and activities, and participation in key rituals directed at the public good. Every native culture assigned and assembled these diverse factors in unique ways. Although women’s lives were different in each society, and different from those of men, they were everywhere visible and culturally valued. When authors have tried to generalize about how native gender roles have changed historically and what factors caused that change (and by extension, what factors sustained these roles in the first place), the most common positions directly contradict each other. One major proposal is that women’s status declined as EuroAmerican values and structures were imposed on them. The second is that men’s roles as hunters and warriors were destroyed after reservationization and forced pacification, while women’s lives, centered on the home and childraising, remained unchanged. The hypothesis that the status of women declined is most clearly argued for cultures with matrilineal and matrilocal structures, such as the Iroquois or Cherokees. There, large households of related women formed the solidarity groups that supported a young bride’s choice of spouse or divorce. Together those women formed production teams under the leadership of their most senior member, and kin groups often controlled access to economic resources, such as land. Euro-American policies specifically undercut these organizations. American law dictated that not only family name should pass from father to children, but material property as well; shares were received by his wife and own children, but no longer his sisters and sisters’ sons, his heirs through the matrilineage. Missionaries, often connected to trade and reservation administration, decried sororal polygyny and extended families, especially matrilocal ones, as ‘‘uncivilized.’’ They encouraged men to live in nuclear family households and bring their wives under their control (Leacock, 1978: 247–248; Rothenberg, 1980: 72–83). BIA policy channeled tools and agricultural education at men and urged them to support of their families through farming, thus taking over a primary productive role of women (Perdue, 1998: 115–134). Women lost the block of relatives they had relied on for support along with their economic role and opportunities for leadership, and became dependent on individual husbands instead. Government policies pushed for nuclear families with male household heads, reproducing the European cultural mode. Some native cultures already practiced bilateral descent and neolocal residence; in many others these structures were new, and altered dramatically the factors that undergirded women’s status, causing it to decline. It could be argued that men’s status also fell through historic time, but this model provides no guidelines for evaluating which gender group lost more and hence whether women’s status declined, relative not to their own former status, but relative to that of men with whom they then lived. The second generalization about women’s status is that it changed less than men’s, if at all, and that therefore women formed the stable core of native society and enabled the people to survive the disruptions of colonialism (Perdue, 1998: 10; Powers, 1986: 3). No matter how much the tribal political structure was decimated, the land lost, and the economy shattered, there was always, it is argued, the home and

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the raising of children. Within their domestic sphere women were safe, even while men were stripped of their public life. Such a model is, however, short-sighted. It ignores the fact that native women had never been just wives and mothers, and that their extensive roles outside of the home were modified just as much as those of men. Furthermore, as suggested above, for some societies the very structure of the family was dramatically altered, inevitably modifying the gender dynamics between husbands and wives, relations between co-resident women, and the behavior of mothers to children. Surely the skills, mechanical and social, that these mothers were inculcating in their children had to alter as the adult lives for which they were being prepared changed through time. An assumption, overt or covert, that somehow the home was removed from the larger world and was a separate node of life isolated from the rest of culture, is necessary for this model, and is a false assumption. Just as the cultures of native North America were not uniform, neither were their histories. Each tribe had a unique historical experience, parts of which affected women differently from men and to which they responded in gender-specific ways. Across the historical period the full range of social, economic, political, and conceptual factors discussed above were significant, and Native American women’s and men’s roles were affected in diverse ways. These factors are still influential on Native American women and men, and the relationships between them, today. The demographics of marriage, subtleties of family dynamics, actions and organizations of kinship groups, and adaptations of social structures to new social conditions are all important influences on gender relations today. Women’s wage income, roles as crafts producers, and acquisition of educations that open career opportunities reflect the continuing significance of women to tribal economies. Women not only run for tribal office, but have taken cases to the U.S. Supreme Court in defense of treaty and individual rights, become tribal attorneys, been active in protest movements, such as the occupation of Wounded Knee in 1973, and organized innumerable grassroots and larger groups to deal with issues ranging from the improvement of community education facilities to international human rights. Women remain active in both native and novel religious organizations, as well as providing intellectual leadership in literature, poetry, the arts, and academic Native American Studies. All the cultural factors that constituted gender roles in the past, that were modified and restructured historically, continue to be important influences in the lives of Native American women and men today.

REFERENCES Albers, Patricia C. 1989: ‘‘From Illusion to Illuminations: Anthropological Studies of American Indian Women.’’ In Gender and Anthropology: Critical Reviews for Research and Teaching, ed. Sandra Morgen, pp. 132–170. Washington, DC: American Anthropological Association. Blackman, Margaret B. 1982: During My Time: Florence Edenshaw Davidson, a Haida Woman. Seattle: University of Washington Press. Brown, Jennifer S. H. 1996 [1980]: Strangers in Blood: Fur Trade Company Families in Indian Country. Vancouver: University of British Columbia Press, 1980; reprinted, Norman: University of Oklahoma Press, 1996.

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Brown, Judith K. 1970: ‘‘A Note on the Division of Labor by Sex.’’ American Anthropologist 72: 1073–1078. Buckley, Thomas 1982: ‘‘Menstruation and the Power of Yurok Women: Methods in Cultural Reconstruction.’’ American Ethnologist 9: 47–60. Collier, Jane Fishburne 1988: Marriage and Inequality in Classless Societies. Stanford: Stanford University Press. Klein, Alan 1983: ‘‘The Political Economy of Gender: A 19th Century Plains Indian Case Study.’’ In The Hidden Half: Studies of Plains Indian Women, ed. Patricia Albers and Beatrice Medicine, pp. 143–173. Washington, DC: University Press of America. Knack, Martha C. 1989: ‘‘Contemporary Southern Paiute Women and the Measurement of Women’s Economic and Political Status.’’ Ethnology 28: 233–248. Leacock, Eleanor 1978: ‘‘Women’s Status in Egalitarian Society: Implications for Social Evolution.’’ Current Anthropology 19: 247–275. Le´vi-Strauss, Claude 1969: The Elementary Structures of Kinship. Revised edn. Translated by James Harle Bell, John Richard von Sturmer, and Rodney Needham. Boston: Beacon Press. Miller, Bruce C. 1992: ‘‘Women and Politics: Comparative Evidence from the Northwest Coast.’’ Ethnology 31: 367–384. Parsons, Elsie Clews 1919: ‘‘Waiyautitsa of Zuni, New Mexico.’’ Scientific Monthly 9: 443-457. (Reprinted 1991 in Pueblo Mothers and Children: Essays by Elsie Clews Parsons, 1915-1924, ed. Barbara Babcock, pp. 89–105. Santa Fe, NM: Ancient City Press.) Perdue, Theda 1998: Cherokee Women: Gender and Culture Change, 1700–1835. Lincoln: University of Nebraska Press. Powers, Marla N. 1986: Oglala Women: Myth, Ritual, and Reality. Chicago: University of Chicago Press. Rothenberg, Diane 1980: ‘‘The Mothers of the Nation: Seneca Resistance to Quaker Intervention.’’ In Women and Colonization: Anthropological Perspectives, ed. Mona Etienne and Eleanor Leacock, pp. 63-87. New York: Praeger. Schlegel, Alice 1979: ‘‘Sexual Antagonism Among the Sexually Egalitarian Hopi.’’ Ethos 7: 124-141. Titiev, Mischa 1944: ‘‘Old Oraibi: A Study of the Hopi Indians of Third Mesa.’’ Peabody Museum (Harvard) of American Archaeology and Ethnology Papers no. 22. (Reprinted 1992, Albuquerque: University of New Mexico Press.) Wright, Mary C. 1981: ‘‘Economic Development and Native American Women in the Early Nineteenth Century.’’ American Quarterly 33: 525-536.

FURTHER READING Albers, Patricia and Beatrice Medicine, eds. 1983: The Hidden Half: Studies of Plains Indian Women. Washington, DC: University Press of America. Bataille, Gretchen M. and Kathleen M. Sands, eds. 1991: American Indian Women: A Guide to Research. New York: Garland. Green, Rayna 1983: Native American Women: A Contextual Bibliography. Bloomington: University of Indiana Press. Harkin, Michael and Sergei Kan, eds. 1996: Native American Women’s Responses to Christianity. Special issue of Ethnohistory 43: 563-725. Kehoe, Alice 1995: ‘‘Blackfoot Persons.’’ In Women and Power in Native North America, ed. Laura F. Klein and Lillian A. Ackerman, pp. 113-125. Norman: University of Oklahoma Press.

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Klein, Laura F. and Lillian A. Ackerman, eds. 1995: Women and Power in Native North America. Norman: University of Oklahoma Press. Osburn, Katherine M. 1998: Southern Ute Women: Autonomy and Assimilation on the Reservation, 1887-1934. Albuquerque: University of New Mexico Press.

CHAPTER

4

Politics

Loretta Fowler

This chapter discusses the efforts made by anthropologists to understand Native American politics, summarizes what is known, and suggests some of the issues that should be explored further. In selecting works to be discussed, for the most part I have eliminated ethnographies that subsume a discussion of political organization within a general description of a way of life. Politics here refers to the processes by which leaders are chosen, public decisions made, the public mobilized to cooperate (or not), and the struggle over these processes both within a community or group and between local groups and state organizations. The study of Native American politics begins with Lewis H. Morgan’s League of the Ho-de-no-sau-nee, or Iroquois, published in 1851. This study of the political organization of clans, tribes, and the Iroquois confederacy also touches on themes that occur in the study of Indian politics in subsequent anthropological work: evolutionary development of polities, political responses to colonization, intrasocietal conflict and competition, the centralization of authority, political mobilization, and state dominance. Morgan attempted to describe how leaders were chosen, interclan and intertribal cooperation secured, and decisions made. Making some first-hand observations and relying also on information from his Seneca friend Ely Parker, Morgan viewed the Iroquois political system as the ‘‘highest’’ of those developed among native peoples with a hunting way of life (p. 55). By elaborating on the family (clan and moiety [a division of a society into two descent groups]) relationship, the Iroquois modeled their confederacy after the clan and moiety organization (symbolized by a longhouse metaphor); that is, the association with family furnished the emotional and conceptual impetus for relations of reciprocity between the tribes that formed the confederacy. The sachems, representatives of the clans, held hereditary clan titles, but new conditions after contact with Europeans and Americans led to other leaders being involved along with the sachems in decision-making. Decisionmaking by consensus gave way under conditions of contact, so that the tribes took different positions toward the colonial powers. In many ways, this form of analysis

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remains either the paradigm or the touchstone for the contemporary anthropological study of Native American politics.

THE DEVELOPMENT

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Almost a century after Morgan’s work, Robert Lowie (1927) examined the evolution of government in native North America, contributing to anthropological theories of cultural evolution in general. Lowie contrasted North America with Africa, where state organizations had developed, and noted that in North America the population was significantly smaller and distributed in politically autonomous, scattered settlements (1948). Despite the widespread lack of centralized governments, the native peoples of North America had political organizations that maintained order. Ties based on kinship were not exclusive of territorial ties, as Morgan had argued; rather ‘‘kinship’’ was strengthened by propinquity. Subsequent anthropological reconstructions of ‘‘pre-contact’’ political organization in North America built on the idea that small-scale societies had political and legal systems, albeit ones based on consensus (that is, persuasion that neutralized dissent), and compartmentalization and circumscription of authority (see also Hoebel, 1936). However, neoevolutionary models of the 1960s and 1970s (see, e.g., Fried, 1967; see also Adams, 1977), based on these reconstructions, were challenged by scholars using the ethnohistorical method. William Fenton critiqued Morgan’s analysis of the Iroquois confederacy, noting that it was modeled on both territorial and kinship principles (1965; see also Fenton, 1998, and below). William Sturtevant (1983) and Eleanor Leacock (1983) argued that neoevolutionary typologies were not an accurate reflection of social reality, that history is more complex than evolutionary theory suggests. John Moore (1987) disagreed with Fried on the characterization of ‘‘tribe’’ in his study of how the Cheyenne ‘‘tribal nation’’ developed from an alliance of bands, and he refuted the idea that tribes are created by or in response to nation-states. Cheyenne bands were multiethnic and multilinguistic populations that combined in the 18th century and established a tribal political organization and tribal religion that supported each other in a context of new economic opportunities.

P O L I T I C A L R E O R G A N I Z AT I O N : R E S P O N S E S

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Radcliffe-Brown introduced a functionalist tradition (for example, see Provinse [1937], who stressed the political and legal functions of a range of institutions in Plains communities, including military societies, ridicule, and religious leadership). The functionalist tradition also shaped the subsequent ethnographic reporting on politics in acculturation studies. Ethnohistorical work of the 1930s and 1940s, although having less impact on contemporary scholarship than the acculturation approach, reconstructed political change by applying anthropological perspectives to the study of primary documents. Oscar Lewis (1942) showed that when the Hudson’s Bay Company had a monopoly, traders enhanced the authority of selected chiefs by conducting trade through them and by liberal gift-giving to these chiefs. Lewis argued that competition between companies resulted in the creation of many

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chiefs and the decline of the prestige and authority of chiefs generally. Joseph Jablow’s study of Cheyenne trade relations also concluded that band leaders’ positions were enhanced by traders (1950). The increased reliance on horse raiding in order to obtain trade goods encouraged young men to defy the authority of chiefs and priests who tried to control raiding. John Ewers argued that the acquisition of the horse as a result of Spanish entry changed the nature of leadership on the plains. Men with many horses attracted horse-poor followers and leadership became associated with generous distribution of food and loans or gifts of horses (1955). Preston Holder (1970) showed how contacts with Euro-American traders, whose activities brought disease and necessitated increased raiding expeditions, resulted in young men unqualified for hereditary chieftainship challenging the authority of village leaders among the Arikara and other Prairie-Plains peoples. Nomadic groups, particularly Lakota who had direct access to guns and horses, were able to attain political advantage over the sedentary villagers once access to guns and horses became necessary for survival. As a result of these studies, the impact of trade in native North America was assumed to result in significant political change, and subsequent studies of Indian history adopted this perspective. Gros Ventres’ relations with English and French Canadian traders in the 18th century paralleled those of the Blackfeet. Traders initiated relations with established leaders in order to obtain horses and provisions and strengthened these men’s positions by gifts, particularly guns (Fowler, 1982b, 1987). The privileged access to trade goods reinforced wealth differences in horse ownership. Fowler also argued that the nature of trade relations helped shape differences in political organization between Arapahos and Gros Ventres. Gros Ventres, who faced more intense intertribal warfare on the northern plains, organized into smaller bands and developed competitive institutions (for example, a moiety division among men’s societies) to encourage vigilance and bravery in battle. More secure in their intertribal alliances on the central and southern plains and less dependent on trade, Arapahos emphasized unity. Their age grades were occupied by only one group of warriors (an age set) and they were organized into a few large bands controlled through the age grade system headed by religious leaders. In this system a cohort of men or women of similar age drawn from the different bands constituted a group (or ‘‘sodality’’) with specific pragmatic or ritual duties complementing those of the other age grades. Both the ‘‘organic’’ complementarity of the different age grades (they needed each other), and the fact that the members of each age grade were drawn from the different bands, contributed to the overall cohesiveness of Arapaho society. On the southern plains, Comanches were not a singular ‘‘tribe’’ in the 18th and 19th centuries, but rather multiple independent units, each following its own best interests. Game, raiding opportunities, European and American trade, and gifts from competing Euro-American interests were differentially available temporally, geographically, and politically, so the different Comanche divisions developed different political organizations. The leaders of the divisions manipulated relations with Euro-Americans, but, depending on their opportunities, had varying degrees of authority (Kavanagh, 1996). Expansion of American settlers affected native political institutions. The intensification of warfare and raiding in the late 19th century was responsible for a schism within the Cheyenne polity: bands headed by peace chiefs lost authority to bands

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headed by warrior society chiefs (Moore, 1974). As Cheyennes came under attack by the U.S. army year-round and the buffalo declined, raiding became more important than hunting and the soldier chiefs attracted more followers than the council of chiefs. Arapaho hunting territory in Colorado was settled by Americans, which led to an emphasis on negotiations with the federal government for which intermediary chiefs were essential (Fowler, 1982a). These men presented themselves as friendly to U.S. citizens and, at the same time, were expected by Arapahos to obtain trade goods and prevent army attacks. Elderly religious leaders who formed a theocracy at the top of the age grade system helped intermediaries retain the support of other Arapahos. This cooperation mobilized public support for decisions that chiefs articulated in treaty councils; in contrast, Cheyennes were not unified and the many bands of Lakota lacked a pan-tribal political organization. Northern Arapaho chiefs participated in consensus decision-making, trying to persuade others to cooperate. Assisted by elderly ritual authorities, they worked to mobilize tribal members to support their efforts to counter plans to have Arapahos removed from Wyoming as well as to resist the federal government’s efforts to undermine native institutions. They developed strategies, including the manipulation of political symbols with sacred associations, as well as economic resources, that influenced both federal officials and Arapahos. After 1878 Northern Arapaho political strategies developed out of tensions and conflicts with the Shoshone, who shared a reservation in Wyoming, as well as with federal officials. The Arapahos’ consent to the federal policy of allotment of tribal land to individuals (see chapter 12) is understandable from this perspective – allotment gave Arapahos title to land not theirs by treaty. While some Plains peoples managed to unify behind intermediary chiefs, others were less successful. Contrasts in reservation tribal government in the 20th century reflect these divergent histories. East of the plains, politically autonomous Cherokee villages voluntarily developed a state government in the 18th century to cope with the conditions of colonization (Gearing, 1962). At first religious officials coordinated the movement toward statehood, then new forms of coercion were used by military leaders. The Iroquois polity developed from the league of five nations, a compact of village chiefs, into the Iroquois confederacy by the late 17th century. The league became a symbolic system used by the confederacy during the next three centuries. Personnel of the confederacy more often than not lacked a hereditary title from one of the founders but had knowledge about league procedures. Confederacy policy was shaped by trade relations, and colonial trade and diplomacy was shaped by the Iroquois ritual paradigm. In the 18th century the orators who negotiated treaties and the influential war chiefs largely displaced the hereditary peace chiefs on the council, but the new leadership used league symbolism to legitimize their actions. Iroquois leaders adapted their political organization to the historical contingencies they faced and largely were unable to enforce unity of position in the confederacy (Fenton, 1998). At Grand River reserve in Canada the confederacy council was the reservation government during the 19th century, but the Iroquois developed political innovations in order to prove to Canada that the council was a viable government. The Mohawk chiefs (representing the most populous tribe on the reservation) came to exert the most influence, acting as brokers between the traditionally more prominent Onondaga chiefs and prosperous ‘‘warriors.’’ The confederacy took on new roles relevant in reservation life and adopted voting as a means of decision-making (Weaver, 1984). At

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Six Nations reserve in Canada, there was tension among the chiefs of the confederacy in the 19th century. Rival chiefs challenged the roles of others and ambitious, accomplished men resented not having chieftainships. Confederacy decisions became influenced more by the men without chief status. By 1924, the reserve adopted an elected council amid controversy (Shimony, 1984). In New York the Seneca were settled on several reservations, and other tribes of the confederacy were on other reservations. Although two Seneca reservations adopted an elective council, the chiefs and elected leaders worked together on a Six Nations council to pursue a land claim; each accepted the leadership of the other and combined traditional procedures (unanimity in decision-making) with American procedures (motions and voting) (Abler, 1984). Where there was no tradition of centralized leadership it was common for the United States to favor one leader over another in distributing benefits and, thereby, introduce conflict on a reservation (Fallers, 1960), and for native leaders to establish alliances with missions or other sources of economic aid in order to strengthen their position (for example, see Walker, 1968). Edward Spicer synthesized historical and ethnographic research in the Southwest region, comparing the actions of Spain, Mexico, and the United States toward native peoples (1962). He argued that colonial powers’ policies influenced political change in native communities. Because of the paternalistic United States position, native communities were not integrated into the national society but, rather, their polities were disrupted and their communities destabilized. Federal dominance was particularly harsh on Apache reservations, while the more scattered and numerous Navajo were essentially ignored and the Eastern Pueblos, viewed already to have ‘‘governments,’’ were relatively less supervised. The introduction of Indian Reorganization Act (IRA) governments based on elected tribal councils operating under written constitutions (see chapter 12) was received differently by each of these peoples, largely due to these contact histories.

CONFLICT AND COMPETITION Anthropologists began to make direct fieldwork observations of political life and to study contemporary reservation politics in the 1930s. Greatly influenced by ‘‘acculturation’’ theory, in which the study of social change was based on comparing sociopolitical traits from the past with contemporary life, many anthropologists viewed resistance to change as ‘‘conservative.’’ Acceptance of IRA or Western-style government was ‘‘progressive.’’ Ralph Linton’s collection of papers from fieldworkers is a good illustration of how political change was treated in acculturation studies (1940). Linton drew on Jack Harris’s, Marvin Opler’s, and Natalie Joffe’s studies on the Shoshone, Ute, and Fox, respectively, characterizing their tribal governments as comprising ‘‘progressive’’ and ‘‘conservative’’ factions. William Whitman’s 1936–7 study of San Ildefonso Pueblo, also in the Linton volume, described how a religious official selected and installed the governor, who governed in cooperation with a council of elderly leaders (ex-governors). In 1930 friction had erupted after several women established a pottery business that gave their families an economic advantage. The religious leaders relocated to the south section of the

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pueblo, but the potters and their families stayed on the north side. When the religious authorities withheld ritual objects from the north side in 1930, the latter seized the ritual objects they wanted. With the support of the Bureau of Indian Affairs (BIA), families on the north side elected a governor and refused to return the cane of office (which historically had sanctioned the authority of the position) to the religious authorities. Subsequently, the south side refused to recognize the new governor. Whitman was uncomfortable subsuming this conflict under the progressive–conservative rubric. Nonetheless, the progressive–conservative factionalism paradigm dominated anthropological thinking about Indian politics for 20 years or more and, I believe, contributed to a stereotypical view of the political process. For example, David French (1948) argued that ‘‘acculturation’’ had resulted in a conflict between two groups that disrupted Isleta Pueblo government. In 1941 the governor came in conflict with the council of ritual authorities whose duty it was to choose by consensus the civil officers (including the governor). With BIA support, the governor, who had gotten possession of the cane of office, ignored the wishes of the ceremonial authorities. French argued that the value system that encouraged individuals to ignore self-interest and concentrate on cooperation with others in the pueblo was undermined by participation in a money economy; thus, the religious leaders could not reach unanimity and a crisis ensued that allowed for BIA intervention. Pressure for a constitutional government began to build in this pueblo as well as some others (see also Fenton, 1957, on Taos). Philip Drucker’s work on the Native Brotherhoods in Alaska and Canada (1958) was also influenced by the acculturation framework, but Drucker found a simple progressive–conservative model inadequate. He noted that the brotherhoods combined techniques borrowed from American and Canadian political groups with aboriginal values and institutions. With Western-style political advocacy, they mobilized the Indian vote to end economic and educational discrimination. Traditional chiefs came to serve as the leaders in local communities, and the organization helped to strengthen the potlatch ceremonialism, for it often served to represent the ‘‘opposite moiety’’ in exchange. The Brotherhood in Canada also gave native leaders committed to Indian rights experience in dealing with Canadian officials and businessmen. Intertribal political organizations in Canada and the Arctic emerged again as a central research topic for anthropologists after the 1970s. Much of the work on conflict or factionalism in the 1960s followed or addressed the approach suggested by Bernard Siegel and Alan Beals, who (influenced by the processual approach of Victor Turner and Lloyd Fallers in the late 1950s) encouraged students of American Indian society to focus on conflict (1960a, 1960b; see also Swartz, Turner, and Tuden, 1966). They challenged the tendency of anthropologists to describe a society as a stable ‘‘social system’’ and to view individuals as working to maintain the system. Instead, Siegel and Beals proposed a dynamic model of society in which social relationships could be disruptive and individuals behave in self-seeking ways. They viewed conflict as an outcome of the interaction between external stress (particularly if it affected members of a society selectively) and internal strain. They proposed a typology for the study of conflict; one type, factionalism, was defined as non-adaptive, interpersonal conflict that was overt, unresolved, and an impediment to the achievement of group goals and cooperative activity. Factionalism came in two forms: schismatic (conflict between well-defined cohesive subgroups, which led to

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the dissolution of the group) and pervasive (conflict between and within subunits of a group, which led to ineffective government). Siegel’s ideas largely emanated from his and Fenton’s work at Taos Pueblo. He described factionalism at Taos as pervasive. External pressures in the form of young people accepting wage work outside the Pueblo, which made them less dependent on Pueblo resources, and inability of veterans to obtain experience necessary to rise in the Pueblo hierarchy, contributed to a rebellion on the part of the veterans and a number of supporters drawn from relatives and sympathizers (Siegel and Beals, 1966). The authoritarianism of the Pueblo council leaders and the tension between the ideal of cooperation and unity and the reality of strong personalities who could manipulate the council created an internal cleavage that was aggravated by the external pressures. In communities where legal enrollment did not correlate with reservation residence, ‘‘absentee’’ tribal members and reservation residents formed political interest groups that had different perspectives on tribal income and on the ‘‘termination’’ policy of Congress in the 1950s (see chapters 12, 14). Reservation residents generally opposed termination of the trust status of the community; those not living on the reservation were advocates for the sale and per capita distribution of tribal assets (see Stern, 1961–62; Walker, 1968; Clifton, 1968). Similarly, when Ernest Schusky did fieldwork in 1958–60 on Lower Brule reservation, conflict between Brule Sioux (Lakota) living on the reservation and those in urban areas developed over the use of money received for the loss of reservation land to a federally constructed dam (1994). In such cases, the reservations of the Brule, Klamath, Nez Perce, and Potawatomi, respectively, did not have the resources to support all the tribal members, which led to outmigration and resettlement in urban areas (see also Fowler, 2002). Neither Clifton nor Walker viewed ‘‘schismatic factionalism’’ as inevitably leading to social breakdown in the communities they studied, although they discussed these communities in terms of progressive and conservative factions. In contrast to Siegel’s and Beals’s model of conflict leading to social breakdown, some cases of factionalism were described as having positive political functions, and the progressive–conservative schism was challenged by further ethnographic study. Canada’s imposition of elective government led to conflict between hereditary Iroquois chiefs (some of whom were Christian) and those men ambitious for political office yet not qualified for chieftainship. There was no direct correlation between a ‘‘traditional’’ orientation and support of hereditary chiefs, for some practitioners of the longhouse religion favored the elective process (Nicholas, 1965; see also DicksonGilmore, 1999, who argued that among the Kahnawake Mohawk council/longhouse ‘‘factionalism’’ was a false dichotomy). Nicholas concluded that the conflict filled positive political functions because it helped reorganize government to be more effective in the new reservation context. (However, on other reservations, hereditary chiefs’ councils governed.) James Smith (1979) emphasized that the turnover of leadership on IRA councils on Chippewa reservations in Minnesota was due to rivalry and frustration over BIA controls and that the conflict had a positive function because it worked to distribute jobs and leadership opportunities widely. In the Southwest, other ethnographers found that, while the authoritarianism of Pueblo political structure often led to resistance against the hierarchy of ritual leaders, the conflict generally was not a struggle between ‘‘progressive’’ and ‘‘conservative’’ approaches (Dozier, 1966; Pandey, 1968). At Cochiti Pueblo the elderly ceremonial

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leaders and the young men managed to compromise, so that World War II veterans and other young men not dependent on the Pueblo for their livelihood maintained their ceremonial responsibilities at the same time as they participated in economic innovations (Fox, 1961). S. Nagata argued that conflict between Hopi at Upper and Lower Moenkopi provided needed flexibility and checks on abuse of power; he found no correlation between these two leader–follower groups and progressive or conservative commitment or economic position, because each side controlled katsina ceremonies and reservoir water (1977); that is, each side could marshal both traditional and modern political resources. Using ethnohistorical work and oral histories, Whiteley argued that Hopi conflict that led to a schism (the secession of villagers from Oraibi in 1906) was a deliberate plan on the part of religious leaders to overturn the authority structure and create a new social order. Although even these leaders sometimes presented the conflict as a split between ‘‘friendlies’’ and ‘‘hostiles,’’ they used this symbolism to mobilize ‘‘commoners’’; both sides opposed allotment and embraced the use of modern technology and wage work (1988). Most Hopi avoided a firm alliance with either group of leaders and, Whiteley concluded, accepted the tribal council as protection against a monopoly of power by men with control over supernatural processes and as an opportunity for ‘‘commoners’’ to obtain a power base. Pandey (1977) focused on factionalism at Zuni but discussed it in the context of BIA intervention (see below), rather than as a progressive–conservative schism. In one dispute over establishment of a school, all Zuni families favored school attendance. With the addition of several ethnographic studies and ethnohistorical work, labeling conflict groups as progressive or conservative became generally accepted as an oversimplification at best. In California, where reservations were created for several different tribes with different sociocultural and historical traditions, conflict reflected not factionalism in Siegel’s and Beals’s sense, but a struggle for political autonomy (Brickman, 1964). At Fort Belknap reservation, federal policies forced Gros Ventres and Assiniboines into a competitive relationship, and this competition was central to the different political strategies each used in dealings with the federal government (Fowler, 1987). By the 1970s the interest in describing ‘‘factionalism’’ as an indication of disruption and breakdown due to disagreement over innovation had waned. Anthropologists, continuing to draw on the process approach, focused on other issues, particularly the strategizing of leaders (who were described as agents of change, maneuvering to accomplish personal and public goals) and dominance issues.

T H E C E N T R A L I Z AT I O N O F A U T H O R I T Y A N D TRIBAL GOVERNMENTS

THE

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In the 1960s anthropologists focused on studying new nations politics in the Third World and, in the United States, the organization of IRA tribal governments after 1934, although in reality many native communities had elected councils before that time. Politically autonomous communities were coalescing into centralized governments, particularly where native people recognized the potential for more control over local affairs. IRA councils also were established when small communities found them advantageous (see Dozier, 1966; Hughes, 1966; F. Miller, 1966). Navajos in

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politically autonomous local groups saw an opportunity to subvert the federal government’s hated stock-reduction program and to pursue a claim against the federal government by embracing and seizing control of a tribal council, which had been imposed on them by the federal government in 1921. A local or ‘‘chapter’’ organization and the tribal council, to which chapters sent delegates, were accommodated to each other so that local leaders were able to interact with community members through consensus decision-making and persuasion while delegates represented the local communities’ interests in a more assertive way. The new benefits obtained for communities by the tribal council created new political values, yet traditional values based on consensus decision-making and persuasion also were accommodated (Shepardson, 1962; 1963). Among the Jicarilla Apache (whose population was smaller than that of the Navajo but also organized in politically autonomous camps scattered throughout the reservation) an IRA council was imposed in 1959. It was regarded by the Apache with apathy and officials were resented. Several years later the possibility of oil royalties and other resources (federal programs, for the most part) motivated the Apache to use the council to wrest control of reservation resources from federal officials. The tribal council had more authority than the camps’ headmen did in subsistence activity, because land was owned in common and the council could distribute tribal income (Wilson, 1964). Similar processes occurred elsewhere (see Hughes, 1966; F. Miller, 1966). Recently, native peoples have worked to organize IRA centralized governments in conjunction with federal recognition, protection of resources, and affirmation of cultural identity (B. Miller, 2001). On the plains, most native peoples accepted IRA governments, believing that the change would lead to significant political or economic advantage. The Gros Ventre and the Assiniboine at Fort Belknap gave overwhelming support to an IRA business council (although they already had an elected business council of prominent men). The tribes at Fort Belknap were assured that, in reorganizing, each tribe would be politically autonomous and that they would receive economic assistance (in the wake of fires and floods that virtually destroyed the reservation economy). Although described as progressive by the federal government, the Gros Ventre leaders were integrated into the ceremonial system of moieties and otherwise conformed to traditional ideals of leadership (Fowler, 1984; 1987). In comparison, the Northern Arapaho, still led by religious leaders who supervised an elected business committee organized in the late 19th century to oversee the leasing of tribal land, overwhelmingly rejected organization under the IRA and refused to accept constitutional government because they did not believe the BIA would adhere to the terms of reorganization or help them develop and use their oil resources in the ways they wanted (Fowler, 1982a). In the Fort Belknap and Northern Arapaho cases, native ideas about authority and cultural identity were not incompatible with an elective government (see also Voget, 1980). Among the Arapaho and Cheyenne in Oklahoma, whose tribally owned lands had been allotted or ceded, elderly people were suspicious of reorganization and, as holders of individual allotments in trust status (see chapter 6), were wary of change. The chiefs who still served as political intermediaries were reluctant to make a transition to an elective government. Younger people, mostly landless and impoverished due to the work of the BIA’s ‘‘competency commission’’ that had removed the trust status from the allotments of individuals

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deemed ‘‘competent,’’ favored the IRA because of its promise of economic assistance. The IRA elective government accepted (by a majority but not a landslide vote) was a compromise between the old chiefs and the young men; both had formal representation on the council (Fowler, 2002). The Cheyenne–Arapaho business committee became both institutionalized and culturally legitimated, but the IRA councils on Pine Ridge and Rosebud reservations faced ongoing opposition. The Oglala Sioux (Lakota) on Pine Ridge and the Brule (Sicangu) on Rosebud reservations were bitterly divided over the introduction of IRA governments and accepted them only by small margins. The controversy reflected a division in these Lakota communities between the New Dealers, that is, supporters of reorganization (and economic development), and the opponents, the Old Dealers. The Old Dealers perceived the IRA council as an institution that violated treaties. The treaty-rights ideology stressed that treaty provisions called for three-fourths majority rule (broad-based community participation) and government delivery of supplies and services. Reservation-wide councils had been previously operating on the three-fourths model; councils were made up of representatives from each district on these reservations. The councils were merely advisory to the BIA. Although Old Dealers were largely ‘‘Full Bloods’’ (culturally speaking) who held their allotments in trust status, and New Dealers were largely ‘‘Mixed Bloods’’ who had sold their land and stood to benefit from IRA programs, both the treaty and the IRA councils drew supporters from each group. Ironically, the older form of council was a functioning tribally based organization; the IRA council resulted in decentralization. The IRA councils reinforced federal dominance over the economically dependent Lakota; thus, dominance and dependence were linked. The Lakota did not challenge the administrative presence of the BIA despite everyday forms of resistance (dissimulation and appeals for reform) (Biolsi, 1992). Business committee composition changed everywhere after the 1930s, particularly in terms of the age and gender of the persons elected. But these changes were due more to historical forces than to the IRA. Although IRA constitutions gave women voting rights and permitted them to run for office, the influence of War on Poverty programs and Civil Rights ideology (see chapter 14) usually were the impetus for women’s election to council office. Among the Cahuilla in California, as a result of outmigration, women in local communities took on more political responsibility and, in urban contexts, became involved in pan-Indian movements when California Indian communities were threatened by termination and other state and federal initiatives. Women’s political status and roles were transformed as they gained experience in wage work and pan-tribal movements, then served as leaders in the local Cahuilla communities (Bean, 1964; see also B. Miller, 1992).

P O L I T I C A L M O B I L I Z AT I O N Using the process approach in ethnohistorical reconstruction (see, for example, Fowler, 1982a; Kavanagh, 1996) and in ethnography of contemporary communities, anthropologists examined politics in terms of actual events and of interactions between individuals jockeying for political influence and power. How leaders mobilized

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support through the manipulation of symbols – acts, words, and objects that conveyed meaning – was an integral part of some of this work, which began in the 1960s and remained influential into the 1980s (for earlier studies with a similar focus on individual political strategizing, see Gayton, 1930; Richardson, 1940; and Llewellyn and Hoebel, 1941). Chippewa councilmen used joking to achieve unanimity and to exert control over the political process (F. Miller, 1967). Beaver leaders of hunting groups used religious symbols to affect the behavior of rivals (Ridington, 1968). In a study that lent perspective to the earlier work on factions in Taos, E. Smith examined how the traditional hierarchy at Taos engendered a compromise with young opponents, who also manipulated public opinion to gain leverage, in the context of a 1963 crisis over control of Blue Lake (1969). At an election in Zuni, candidates and their supporters maneuvered to arrange alliances in order to defeat opponents, all in the context of contemporary Zuni values about the reconciliation of nativistic and Anglo perspectives (Pandey, 1968). Among Hopi, a dispute between ‘‘traditionals’’ and ‘‘progressives’’ involved two conflicting ideologies and the manipulation of prophecy. Traditional leaders fought actions of the IRA council, using prophecy to mobilize support. Thus, the mythic process was politicized, and ritual positions took on increased political importance. Both Hopi priests who opposed federal domination and tribal council leaders used myth as political ideology. Events originating outside Hopiland were subsumed under Hopi categories of history and culture. In the 1970s, there was an emphasis on prophecy – specifically, the return of the White Elder Brother (which became associated with the ‘‘Great Spirit’’) who would achieve vengeance for the Hopi by destroying Americans. The White Elder Brother symbol had potentially multiple meanings. Tribal council leaders developed their own interpretations of Hopi history and culture, justifying actions such as coal leasing and Navajo removal by prophecy (Clemmer, 1969; 1978). In the Hopi village of Polacca, each side used symbolic action in the form of gossip and clown performance to undermine and compete with the other (Cox, 1970). Tribal council supporters characterized traditionals as a hindrance to progress and a danger to Hopi survival. The traditionals characterized tribal council members as responsible for Hopi misfortunes because of their violation of the Hopi teachings. Supporters of both groups of leaders accepted modern technology, formal education, and religious innovation. At Moenkopi there were two village settlements, one under tribal council leadership and one under a traditional chief. Originally the cleavage was based on competition between ceremonyowning clans (which held the chieftaincy) and those without ceremonial prerogatives (who embraced the tribal council), but people in Moenkopi maneuvered by switching sides and playing each side off against the other, thereby gaining flexibility in dealing with modern innovations and exerting a check on the powers of each sphere of leadership (Nagata, 1977). Political rivals, the Hopi traditionals and tribal council leaders, used similar innovative tactics – public meetings, use of English, recording of activities, secularization – to reinterpret and negotiate the meaning and the symbols of prophecy (A. Geertz, 1994). Navajo leaders maneuvered to generate consensus, some local leaders operating informally, influencing people through their organization of ceremonies and their moral authority. The leaders elected to positions at the local level or as delegates to

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the tribal council were bilingual men with good reputations. These informal and formal leaders complemented each other and helped each other generate group consensus in meetings (Donald, 1970). Navajo disputes in the 1960s over stock reduction, elections, and a legal aid worker occurred over the short run and were eventually resolved through compromise and mutual adjustment (Shepardson, 1971). Lamphere (1977) showed how Navajo individuals built up a support group for all kinds of activities. The local chapter organization at Cooper Canyon controlled job opportunities, and applicants used culturally appropriate ways of building support among officers for obtaining positions. The new tribal organization represented an innovation, but one accomplished on traditional terms, including an ideology of cooperation. Focusing on the link between institutionalization and symbolization, between political relations and political symbols, Fowler showed how Northern Arapahos generated, or failed to generate, support for elective offices through the manipulation of symbols that expressed traditional concepts about good leadership qualities, proper decision-making, and legitimate authority. Events during a particular election served to illustrate how political symbols were manipulated by candidates. ‘‘Blood’’ symbolism of cultural identity, as well as other kinds of symbols, were used to attract support for some candidates and undermine others as these symbols conveyed commitment, or lack of it, to Arapaho ideals and goals. Elections served as a testing ground for innovations; for example, young people tried to convince older Arapahos that they were qualified for leadership positions. There was little turnover of elected officials, unlike on many other plains reservations (Fowler, 1978). Elected officials had an advantage that officials of many other tribes did not: the Arapaho had a large income from mineral resources, and the elected officials controlled some of this income and the remainder was distributed per capita, which provided a safety net for their constituents when federal programs were underfunded and development projects failed. Business committee members acted in ways that defended Arapaho interests and provided support of various kinds to constituents. They symbolically expressed the ideals of protecting and providing for the people through resource distribution and advocacy in dealings with non-Arapahos (Fowler, 1982a). Mohawk political groups used constructs of the past (specifically, the circumstances surrounding the introduction of elective government) as ‘‘moral fuel’’ for activism. Conflicting interpretations of the past served to mobilize support for the goals of two rival groups (Dickson-Gilmore, 1999). The process approach also was introduced in the ethnographic study of native communities in Canada (see Paine, 1971). For example, in a study of political middlemen in an Inuit hunting community in the 1960s, Freeman found that the Royal Canadian Mounted Police official there was all-powerful, although an elected committee acted as liaison and advocate (1971). The head of the committee was a traditional leader (good hunter and good man who was cooperative, generous, and non-aggressive). When another good hunter, who was perceived as aggressive and uncooperative, expressed ambition for the position, he was elected out of fear of his aggressive nature. Despite his success at advocacy, the community had ways of sanctioning his behavior, and he soon left the community. The police official did not.

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D O M I N A N C E A N D R E S I S TA N C E , L O C A L -L E V E L A N D S TAT E R E L AT I O N S In the 1960s some anthropologists were focusing on power differentials between Indian communities and federal authorities, examining how federal dominance affected local politics. As in other parts of the world, political middlemen were a focus of interest, caught as they were between the expectations of local constituents and federal authorities. Where the elected business council came to be viewed as able to shape community affairs, the council became stronger (Shepardson, 1963; Basehart and Saski, 1964; Wilson, 1964; Fowler, 1982a). Where the council was perceived by constituents as powerless, it had little authority. In small Cree communities in Canada in the 1960s, local middlemen, who were federally appointed and denied any decision-making power by the Canadian government, could not gain legitimacy (Kupferer, 1966; Rogers, 1965; see also Stern, 1961–62). At Zuni the civil officers were not considered legitimate because the BIA intruded into the selection process and often supported a minority position over group consensus (Pandey, 1977). The BIA created a conflict of interest between Paiutes settled on a ranch property purchased for them by the federal government and those in a less favored area of settlement (Hittman, 1973). The IRA council was established among the Hopi on condition that village chiefs would certify the representatives and their actions, but the BIA allowed this agreement to be circumvented, thus encouraging the dissent of subsequent decades (Clemmer, 1978). Before the civil rights era, most groups relied on passive resistance. For example, the Fox community perpetuated traditional political patterns despite accepting an elective council (W. Miller, 1960). But the Civil Rights movement encouraged more militant resistance. The 11,000 rural or ‘‘tribal’’ Cherokee (70 named settlements of kindred oriented to ceremonial centers) ignored the elected, representative government of what was known as the 30,000-member Cherokee Nation (or ‘‘Whiteman’s business’’), which was formed when persons legally recognized as Cherokee, but culturally distinct from the tribal Cherokee, allied with state and business interests in the 20th century. Hunting and fishing were central to rural Cherokee identity (in the context both of religion and of treaty relations), and when the state of Oklahoma tried to interfere with those rights in 1965, a consensus developed among the tribal Cherokee to fight the state. In 1966 the rural Cherokee organized the Five County Northern Oklahoma Cherokee Organization and chose officers by consensus (all of whom were ceremonial leaders). Forming a loose coalition of politically autonomous settlements, they held meetings where delegates from the settlements spoke and strategies were developed to challenge land fraud, treaty violation, and the right of the Cherokee Nation to represent them. Outside funding of the organization led to problems maintaining legitimacy as a grassroots organization, and in 1973 the organization disbanded. Nevertheless, the rural Cherokee had institutionalized a tribal or national government on their own terms during the late 1960s (Wahrhaftig, 1966; Wahrhaftig and Lukens-Wahrhaftig, 1977, 1979; see also Fogelson, 1977). Western Shoshone leaders rejected an IRA government and formed an alliance based on chieftainship (Clemmer, 1973). They used dramatic, public acts to insist on

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inherent sovereignty and worked on behalf of hunting and fishing, treaty, and civil rights. Like the Hopi traditionals, they rejected the strategy of filing land claims, insisting that land cannot be sold. In short, these leaders opposed the elected tribal councils in the Great Basin region, whose strategies for maximizing access to resources differed from theirs. The goals of both groups of leaders were similar and, in fact, they cooperated on some issues, such as peyote use, taxation of pine nuts, and hunting and fishing rights. The traditional leadership council was tribally (multicommunity) based (in fact, a post-contact innovation), while elected tribal councils were communally or locally based. The IRA councils were accepted by some Goshute communities, and these councils were particularly concerned with federal programs. The constituencies of these two leadership groups overlapped; that is, grassroots Shoshone and Goshute people relied on both the traditional leadership and the IRA councils. By 1985 the Hopi Tribal Council had incorporated much of the Traditionals’ agenda, and traditional leaders were candidates for election (A. Geertz, 1994; Clemmer, 1995). Joseph Jorgensen argued that a metropole–satellite political economy constrained native leaders: the prosperity of the (largely non-Indian) metropole was made possible by the poverty of the satellite American Indian communities (1971). Jorgensen’s work influenced that of Richard Clemmer, Robert Bee, and others. The Hopi were pressured by the federal government to sign mineral leases that supplied electricity and coal to the American metropolis and gave huge profits to multinational corporations, yet brought the Hopi little control, little employment, and considerable environmental damage. Nonetheless, Hopi tribal council leaders won increasing support because the royalty income became crucial to the Hopi economy (Clemmer, 1978, 1995). Among the Quechan, War on Poverty programs raised expectations after 1965, forcing elected leaders to try to balance two strategies – the manipulation of networks in Washington DC and the manipulation of resources locally to provide help to constituents (Bee, 1969, 1979, 1981, 1982). Because resources were scarce, these activities were inevitably in conflict because lobbying Washington officials drained funds available for local patronage. This problem led to dissatisfaction with elected officials and considerable turnover in officials’ positions. Leaders’ adaptive strategies developed in a context in which local politics was shaped by regional and national political-economic conditions (Bee, 1982). Unlike the Northern Arapaho, the Quechan had no resource base that could generate a sizeable income. Poverty programs and ‘‘638’’ contracting (after 1975; see chapter 14) provided jobs but not long-term growth. In Washington tribal officials had to maneuver among both congressional and executive branch officials, competing with other tribes and other interests, in order to try to alleviate poverty on the reservation. Their efforts were undermined because congressional leaders had primary commitments to the economic interests of non-Indian constituencies. By the 1980s anthropologists were focusing on how local politics articulated with global/regional/national systems so that local leaders were not mere passive victims of dominance but agents of change, as well (see Clemmer, 1995, for example). Studies of tribal politics examined how the self-determination movement affected internal social divisions within native communities and explored the relationship between dominant ideologies and social action (hegemonic and counter-hegemonic

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processes in the terminology of Antonio Gramsci, referring to the orchestration of consent and resistance to that form of power). In Canada native peoples made significant gains in land rights and selfdetermination. The Cree responded to the threat of termination of federal protection in 1969 and to the proposed construction of the James Bay hydro-electric project, which would have flooded and disturbed hunting territories, by organizing a pan-Cree political movement that united numerous small, formerly politically autonomous communities. Cree authority traditions were based on the steward role: 300 stewards supervised hunting territories, their authority supernaturally sanctioned and based on hunting ability and knowledge of the region, but also compatible with consensus decision-making and a caretaker role toward those in their territories. Villages also had chiefs and band councils responsible to the Canadian government whose duty was to manage government resources. In the 1960s young people with experience in the wider society returned and introduced new political ideas. A regional Indian organization was established in 1967 (Indians of Quebec Association [IQA]). By 1971 the stewards, chiefs, and councillors had become interdependent leaders. The threat of the hydro-electric project strengthened this association. Consultations with elders produced the central strategy: elders interpreted the hydro-electric project crisis in terms of their perception of the history of Indian–white relations and their desire for social and politico-economic autonomy. Crees negotiated a settlement in 1975, obtaining hunting territories, the right to be involved in the management of the environment and any development in the region, and the guarantee of income supplements for a hunting way of life. The settlement was ratified in the villages, and a regional Cree organization separated from the IQA and maintained political independence from non-Indian interests (Barger, 1980; Feit, 1982, 1985). This movement developed a political consciousness that focused on the concept of a Cree homeland where subsistence hunting and native political traditions could exist. By 1981 a stronger pan-Cree identity had formed, and there was more political activity in villages where leaders interacted with the province, federal government, and media, while maintaining consensus decision-making in local councils. The association of hunting with Cree identity became an ideology that prevented the emergence of cleavages between leaders and their constituencies. Leaders were viewed as legitimate, effective, and independent of Canadian officials (Salisbury, 1986). The Canadian termination policy of 1969 and a proposed pipeline through Dene territory (Northwest Territories) sparked a resistance movement there. Dene leaders organized a regional brotherhood, insisting on self-determination and the abandonment of the pipeline. Hunters gave testimony to an official inquiry about the pipeline. From this movement, which derailed the pipeline, developed the Dene Nation, founded on the ideal that the traditional lifestyle of hunting was a rational one that should be facilitated. Traditional consensus decision-making, rather than representative government, was embraced, and leaders effectively countered policies of assimilation (Helm, 1980; Asch, 1982; see also Rushforth, 1994). The Arctic Inuit also developed a pan-Inuit movement using traditional styles of negotiation to obtain political autonomy in the Northwest Territory (McElroy, 1980). In the United States, the Lumbee Indians mounted a successful advocacy movement in the context of regional and national politics. From a legal designation as ‘‘free persons of color’’ in the 19th century, these non-reservation people gained social and

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legal acceptance as Indians, and in 1956 a congressional declaration that they are Lumbee Indians – although not entitled to the legal benefits of tribes officially recognized by the U.S. as ‘‘tribal entities.’’ Because they lacked a membership list and a formal political organization (with ties to the BIA and based on election to office) they developed several useful political strategies, including incorporation of external activist leaders and defensive violence. The encouragement of individual or group efforts on behalf of the group made for a series of victories with regard to legal identity and educational goals; despite occasional conflict between the internal and external political leaders, the results were positive for Lumbee interests. In the 1960s Lumbees worked with black civil rights leaders in Robeson County to attain more influence over local decision-making. The Lumbees’ political activity was shaped by their own and others’ sense of Lumbee identity, and leaders were able to use symbols of identity constructs to mobilize support and influence opponents (Blu, 1980). Members of a Mohawk social movement seized a site in upstate New York in 1974, which the group claimed as sovereign territory. These Mohawks, refugees from a clash with Canadian authorities, successfully negotiated with the state government a de facto reservation on state land despite local non-Indian opposition. The Mohawks understood the political process as part of a long-term (since colonial times) commitment to sovereignty, and they manipulated political symbols, including those of ‘‘traditional’’ Indian identity, to accomplish their goals. Responding to the actions of federal, state, and media participants over time, they changed the political symbols and their meanings to accomplish these goals. The opposition of local whites was not based primarily on racism but on concepts of ethnicity and divisions between rural and urban New York (Landsman, 1988). A struggle over Ojibwe fishing rights in Wisconsin took place in the context of the dominant society’s contestation and criminalization of hunting and fishing and of its ideologies of equal rights versus special rights and of racism (see also Biolsi, 2001). A neotraditional movement succeeded in giving the exercise of fishing rights new symbolic importance (linking spearfishing to spiritual responsibility) and portraying the elected tribal council as lacking traditionalist values. They used prophecy and an alliance with non-local, non-Indian groups to achieve political goals and, in the process, a new polity based on an alliance of tribes and bands in northern Wisconsin emerged during the 1990s. These changes occurred in the context of ‘‘global transformations in the value of indigenous cultures in the world-system’’ (Nesper, 2002: 202; see also chapter 16). The Alaska Native Claims Settlement Act (ANCSA) of 1971 created settlementbased native corporations throughout the state which hold land as private corporate property, and have native shareholders (see chapter 13). Among the Tlingit and Haida, elected corporation councils largely replaced IRA councils that had helped promote commercial fishing in the area, as well as the Tlingit and Haida council created in 1939 to pursue the eventually successful land claim. The ANCSA corporations distributed a cash settlement to the native stockholders and managed a land base (largely timber stands) in the interests of the corporations’ native shareholders. The elected, ANCSA corporation councils became elites, controlling the new jobs brought about by the ANCSA bureaucracy. There were not enough jobs for all the Tlingit and Haida; therefore, a marginalized sector of the population was created, consisting of households dependent on subsistence hunting. Because the

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corporations allowed the clearcutting of timber and escalated sales to raise money for dividends, ANCSA resulted in the erosion of the subsistence base and increased marginalization of the poor. A conflict of interest developed between stockholders resident in the villages (who wanted patronage jobs and economic development) and the non-resident stockholders who wanted cash payments. Those born after 1971 were non-shareholders and were not entitled to dividends. Subsistence households and non-shareholders became opponents of the ANCSA leadership; many of these formed the membership of fundamentalist Christian sects who opposed the native culture programs of the ANCSA leadership (see chapter 19; see also Dombrowski, 2001). Political divisions also were based on divergent life experiences of age groups. In the wake of the Indian Self-Determination Act of 1975 (see chapter 6), the people of Fort Belknap reservation began to take control of the administration of reservation programs. There also was a movement to revive ceremonial life. Different life experiences of elderly people and youths on and off the reservation resulted in competing visions about how to transform reservation political and ritual institutions; the eventual compromise, based on kinship obligations, was an accommodation between the perspectives of the contestants (Fowler, 1987). Similarly, the 1983 court decision upholding the Ojibwe’s right to hunt, fish, and gather sparked a clash between two interpretations of the meaning of cultural identity and its relation to spearfishing. The oldest generation, who came of age in the IRA era, was committed to cooperative relations with the surrounding non-Indian community in Wisconsin and the individualization of cultural identity. The younger generation, with ties to the Red Power movement of the 1970s, opposed the tribal council’s desire to lease hunting/fishing rights to the state in return for per capita payments and economic development (see chapter 16; see also Nesper, 2002). In Cherokee politics, hegemony is both reproduced and challenged by two competing racial ideologies – race as nation and race as blood quantum. Racial politics were behind the resurrection of the Cherokee state in Oklahoma between 1946 and 1976 when White Cherokee elites manipulated race as nation to justify their right to political power. The ‘‘fuller’’ blood Cherokee now use race as blood quantum to contest the elite’s claims to power. In dealing with the federal government, the elite successfully challenged the federal government’s one-fourth quantum requirement for various services and got an expansion and improvement of those services for all Cherokee. To some extent, the full-blood community internalized the hegemonic notion that the degree of ‘‘culture’’ corresponds to the degree of ‘‘blood,’’ and this has become an ideology of opposition to the elite. On the other hand, behavior defines identity in many contexts. Blood ideologies also are a source of oppression in the case of the freedman (Black Cherokee) population, former African slaves of Cherokee planters who were given Cherokee citizenship at the end of the Civil War, but who continue to struggle for their Cherokee citizenship rights (Sturm, 2002). Issues of legal enrollment that center on ‘‘blood’’ are common to Native American politics, although they play out differently depending on local histories. The Cheyenne–Arapaho business committee took advantage of the Indian SelfDetermination Act of 1975 and associated initiatives to contract programs from the federal government, establish a casino and other businesses (including oil wells), and implement taxation of non-Indian businesses on tribal land. Although the 1975

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revision of the Cheyenne–Arapaho constitution was supervised by the BIA, it did not provide for administrative responsibility in these areas. By 1975 urban tribal members had begun to be involved in tribal politics in order to influence the distribution of money for a land claim award. They introduced a new discourse about Indian leadership based on an ideology promoted by American institutions of authority since reservation times that had denigrated both tribal government and native ceremonial institutions. Counter-hegemonic processes developed in regard to ceremonial life, while negative assessments of Indian leadership became hegemonic. The supervisory powers of the federal government, for example the implementation of regulations concerning the contracting of programs, made it virtually impossible for Cheyenne and Arapaho leaders to operate tribal government in a way their constituents viewed as successful, and thus reinforced the ideology that demeaned native leadership (Fowler, 2002). Disappointment with the Indian Self-Determination Act has been widespread; how tribal politics are affected varies.

T E N TAT I V E C O N C L U S I O N S A N D P R O B L E M S F O R F U R T H E R S T U D Y We now have a more nuanced view of the colonial and neocolonial eras and of the processes of domination that took both social and ideological form. Hegemonic concepts (regarding property, Christianity, tribalism, culture and race, and leadership) have been at once challenged and internalized to varying degrees. In general, native peoples have incorporated Euro-American ideas and social institutions (for example, elective government) and, in the process, recreated aspects of their political systems (for example, values associated with leadership or linkage between political and religious authority). They have succeeded in putting old wine in new bottles to accommodate to Euro-American society and new wine in old bottles to make changes culturally acceptable. Acculturation models of unilinear political change have not held up under examination: innovations did not result in the decline of ‘‘tradition’’ or assimilation into the American mainstream. But change often was perceived by native communities as advantageous to Indians as Indians. Centralization was possible, despite a history of de-centralized government, when people perceived centralized government (tribal or regional) to be to their advantage. These new governments were legitimized as long as constituents believed that leaders were successful at achieving community goals. One of the most successful rallying points has been the treaty concept, both as symbol of political sovereignty and cultural identity and as an actionable legal and political vehicle for economic development (through legal claim settlements) or pursuit of indigenous rights to resources (such as fish and game). Local constructions of political history have shaped political consciousness. Among the Cheyenne, collective memories of several massacres have affected the community’s relations with the federal government and the kinds of political strategies used by Cheyenne leaders. Hopi beliefs about their sacred obligations to the land and the relationship of these obligations to political leadership have been important in political decision-making and in the controversy over political centralization and industrialization. Cree and Dene have linked their historical association between cultural identity and hunting to their historical relationship to the state.

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The polities that anthropologists described at particular times in the past as disrupted or paralyzed with conflict survived and did the work of governing, defending treaty or indigenous rights, and improving conditions despite the serious problems that remained. The description of conflict as based on a progressive– conservative schism clearly was oversimplified, as was the description of diversity in terms of ‘‘blood’’ as a racial category. Internal political divisions between ‘‘ins’’ and ‘‘outs’’ is a long-term pattern, whether in a pre-contact context (for example, tension among Pueblo elites and between Pueblo elites and commoners) or a post-contact situation that emerged from federal dominance and economic exploitation (for example, conflicts of interest between landed and landless, employed and unemployed, enrolled and unenrolled, resident and non-resident). Internal divisions (based on age, gender, sociopolitical position, for example) have been a stimulus for change, sometimes for compromise and sometimes for marginalization. These tensions are central to the ongoing struggle to defend the interests of all community members against external forces, whether these are based on federal legislation (such as the Indian Self-Determination Act or the ANCSA) or global politico-economic forces. Despite federal and other constraints, there is a clear pattern of strategizing, not only to achieve personal ambition, but also to mobilize public support for resistance, resolution of conflict, innovative adaptation, recovery, and restitution. Depending on what the wider political landscape allowed or prevented, strategies were assertive or covert. Despite the insights gained through historical anthropology and ethnography since Morgan’s time, politics is understudied, which hinders efforts to arrive at generalizations. We have very few ethnographic studies of the repercussions of the Indian SelfDetermination Act of 1975 and associated legislation and court decisions, of the consequences of applying for or receiving federal recognition, of changes in enrollment criteria that have accompanied a recent increase in marriage outside the native community, and a host of other developments that affect or are precipitated by native politics. We lack systematic comparative studies of general social, cultural, and historical variables that explain commonalities and account for variation in native politics across North America, or even over large areas of it – although we have some very suggestive beginnings of such an approach. In 1950, for example, Fenton compared four polities, each of which represented a different subsistence organization, and found that each developed a post-contact political organization based on the precontact system (1955). E. Smith noted that Tiwa pueblos developed very different governments despite their common cultural origin, but she did not attempt to explain the differences (1979; see also Pandey on Zuni and Hopi contrasts, 1994). Fowler also moved in a comparative direction by comparing how the polities of three once virtually identical Arapaho politico-religious systems changed over time in response to different trade patterns and regional variation in patterns of colonization that reflected national interests. On the northern plains, trade relations led to an emphasis on individual competition and, during the reservation period, the land was allotted for ranching with little available for leasing. Individuals built up ranches and the political leadership, which was increasingly secularized, supported the ranching economy. On the central plains, there was an increase in the centralization of authority due to patterns of trade and Indian–American warfare. On the reservation in Wyoming, the authority structure became increasingly theocratic (with elected

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officials subordinate to priests), and institutions that supported economic leveling were reinforced by the leasing of a large section of the reservation in return for per capita payments. The authority structure was bolstered by both religious sanctions and mineral income. The Southern Arapaho reservation in Oklahoma was ceded, and homesteaders displaced Indian farmers and ranchers. Leaders had no land base with which to generate income; they tried to shore up their authority by fusing political and religious roles, but the linkage of these spheres undermined both, and, thereafter, elected officials had to struggle to generate support (Fowler, 1994). Jorgensen compared the effects of the ANCSA on political economy in three Inuit villages (1990). The ANCSA transferred authority from IRA governments to non-profit corporations; however, all three communities made their corporations instruments of the IRA governments and pursued sovereignty goals that challenged the ANCSA, particularly where subsistence hunting and fishing were involved. While the result of the ANCSA was both an increase in subsistence activity and an increased dependency on the state, support for the IRA governments increased. The penetration of the state into village affairs reinforced traditional political relationships and respect for native political leaders. Spicer’s work on the Southwest remains the only regional comparison in the United States (1962). The important comparison of native polities in Canada and the United States has been ignored with the exception of Bruce Miller’s work. Miller compared women’s access to public office in several Coast Salish communities. He found that women had greater success in the United States and that several variables influenced their election to office everywhere: access to income/service occupations, community size, and recent federal-recognition activity (1992). He also compared how tribal governments have developed legal institutions (2001). In the United States, the 1974 Boldt decision on fishing rights mandated that tribes manage salmon fisheries. The United States also recognized tribal sovereignty and transferred legal jurisdiction to tribes, whose members were involved in government through democratic process. There is less public support for tribal legal institutions in Canada, where the province retained jurisdiction and created diversionary justice projects that emphasized the involvement of ‘‘elders’’ and ‘‘tradition’’ and, in so doing, alienated many community members. All these beginnings of systematic comparison are a start, but what is needed is work toward the examination of key variables in a wide range of North American native sites. Among the questions that should be approached from regional and crossregional perspectives are the following: Who makes decisions for a community, what are the community’s goals, and what tactics are commonly used in dealing with outside forces and mobilizing community support? How does identity politics figure in the above questions: tribalism as opposed to individualism, ‘‘cultural’’ identity as opposed to ‘‘blood’’ or to legal identity, tribal as opposed to pan-tribal associations, and tribal as opposed to ‘‘indigenous’’ politics? How does leadership by entitlement (hereditary status, gender, for example) or election figure in community decisionmaking, and to what extent is religious authority associated with political leadership? What accounts for varying degrees of constituent support for leaders and for different kinds or levels of constituent participation? How successful have communities been in achieving their goals? How does this political activity affect members of the community differentially, and how can we account for the lines of cleavage? Historical context is important to examine; for example, some goals and strategies have worked

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better in some contexts than in others; the collective memory (or contrasting views) of historical events and how this shapes political activity in native communities also is important. In exploring these questions, economic and demographic variables would appear to be significant, as well as state policies that differ or vary in their implementation. To what extent do communities control their resources, and what differences are there in the amount of community (or tribal) income and per capita income? What is the community population and the relative size of resident and non-resident population; what is the relative size of native to non-native population? Federal policies and their implementation have affected communities and regions differently. For example, some communities have reservation status, others do not; some have treaty relations, some do not; some are federally recognized, some are not. There are significant differences between Indian policy in Canada and in the United States. The comparative study of politics could contribute significantly to the identification of commonalities among Native American polities and account for their differences. Comparison of the political histories of native communities could help clarify to what extent, and how, Indians have an impact on federal and state/province policy and generally account for how they fared during the process of colonialism and neocolonialism.

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Smith, James G. E. 1979: ‘‘Leadership Among the Indians of the Northern Woodlands.’’ In Currents in Anthropology: Essays in Honor of Sol Tax, ed. Robert Hinshaw, pp. 305–324. New York: Mouton. Smith, M. Estellie 1969: Governing at Taos Pueblo. Eastern New Mexico University, Contributions in Anthropology 2, 1. —— 1979: ‘‘Three Tiwa Communities and Their Response to Stress for Change.’’ In Political Anthropology: The State of the Art, ed. S. Lee Seaton and Henri J. M. Claessen, pp. 343–352. The Hague: Mouton. Spicer, Edward H. 1962: Cycles of Conquest: The Impact of Spain, Mexico, and the United States on the Indians of the Southwest, 1533–1960. Tucson: University of Arizona Press. Stern, Theodore 1961: ‘‘Livelihood and Tribal Government on the Klamath Indian Reservation.’’ Human Organization 22: 172–180. Sturm, Circe 2002: Blood Politics: Race, Culture and Identity in the Cherokee Nation of Oklahoma. Berkeley: University of California Press. Sturtevant, William C. 1983: ‘‘Tribe and State in the Sixteenth and Seventeenth Centuries.’’ In The Development of Political Organization in Native North America, ed. Elisabeth Tooker, pp. 3–16. Philadelphia: American Ethnological Society. Swartz, Marc J., Victor W. Turner, and Arthur Tuden 1966: Political Anthropology. Chicago: Aldine. Voget, Fred W. 1980: ‘‘Adaptation and Cultural Persistence Among the Crow Indians of Montana.’’ In Political Organization of Native North Americans, ed. Ernest L. Schusky, pp. 163–187. Washington, DC: University Press of America. Wahrhaftig, Albert 1966: ‘‘Community and the Caretakers.’’ New University Thought 4(4): 54–76. Wahrhaftig, Albert L. and Jane Lukens-Wahrhaftig 1977: ‘‘The Thrice Powerless Cherokee Indians in Oklahoma.’’ In The Anthropology of Power: Ethnographic Studies from Asia, Oceania, and the New World, ed. Raymond D. Fogelson and Richard N. Adams, pp. 225–236. New York: Academic Press. —— and —— 1979: ‘‘New Militants or Resurrected State: The Five County Northeastern Oklahoma Cherokee Organization.’’ In The Cherokee Indian Nation: A Troubled History, ed. Duane H. King, pp. 223–246. Knoxville: University of Tennessee. Walker, Deward E. 1968: Conflict and Schism in Nez Perce Acculturation: A Study of Religion and Politics. Pullman: Washington State University Press. Weaver, Sally M. 1984: ‘‘Seth Newhouse and the Grand River Confederacy at Mid-Nineteenth Century.’’ In Extending the Rafters: Interdisciplinary Approaches to Iroquoian Studies, ed. Michael K. Foster, Jack Campisi, and Marianne Mithun, pp. 165–182. Albany: State University of New York Press. Whiteley, Peter M. 1988: Deliberate Acts: Changing Hopi Culture Through the Oraibi Split. Tucson: University of Arizona Press. Wilson, H. Clyde 1964: ‘‘Jicarilla Apache Political and Economic Structures.’’ University of California Publications in American Archaeology and Ethnology 48(4): 297–360.

CHAPTER

5

Tribal or Native Law

Bruce Granville Miller

‘‘Tribal’’ or ‘‘native’’ law is a cover-term sometimes used to refer to that portion of federal law that applies particularly to Indian reservations and people. In addition, the term as it is employed here refers to both contemporary law/justice practices and concepts and those from a period before the colonization of American Indians by Europeans and Euro-Americans. The term is closely related to ‘‘customary law,’’ ‘‘folk law,’’ and ‘‘common law.’’ Customary law is used by some social scientists to refer to those tribal law codes produced by colonizers for use in indigenous courts, and is part of the colonial legacy in that customary law tends to reflect the interests of the indigenous elite who participated in its production and male as opposed to female viewpoints. However, the term is used in quite a different way by indigenous judges and other participants in contemporary tribal courts to refer to justice or legal practices that differ from those of Euro-Americans. Folk law refers to local practice that stands outside of state systems in conditions of legal pluralism where more than one legal system is in simultaneous use. Recently, some scholars have employed the term indigenous common law to both emphasize the existence of legal/justice practices distinct from those derived from European sources and to point to the incorporation of portions of tribal law within the mainstream system. This term also indexes the idea that English law derives in part from local systems, known as common law, which came to be included in state law during the period of the creation of modern states. To some extent ‘‘tribal law’’ is itself a misnomer in that members of social subunits, such as individuals, extended families, and clans, all have their own, separate notions of indigenous justice and its practice. Within tribes these ideas overlap, but never fully. One might more precisely speak of ‘‘family’’ or ‘‘clan’’ law. American Indians have experienced centuries of colonization, including specific efforts by the United States and the British, Spanish, French, Russian, and Mexican predecessor states to remove indigenous people’s authority over their own systems of justice and legal regulation. Unlike European colonization elsewhere, which often operated through local elites and local legal practices and institutions, colonizers in America attempted to impose external legal regimes, particularly after the decline of

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indigenous peoples’ role as important military allies following the American Revolution and the War of 1812. In addition, American Indian societies over the last several centuries have been fractured and reorganized in various ways. For these and other reasons, it is difficult to specify precisely how law was once practiced or how tribal law ought to be understood, and these are central questions about tribal law today. This chapter considers tribal law as it might have been practiced, what the aims of indigenous law were, and how one might know these things. In addition, I consider tribal law in the context of tribal–state relations and the central questions facing indigenous communities interested in administering their own justice and legal systems. These questions include the nature of the relationship between the constituent units making up contemporary tribes, namely the individual, the system of extended families, and the tribe itself. I use illustrative examples from the Coast Salish peoples of the Northwest Coast in addition to other communities throughout North America.

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It is difficult to adequately characterize the practices of aboriginal justice as they existed early on in the era following intrusion by Euro-American outsiders. Efforts to reconstruct the justice practices of the mid-19th century or earlier are tripped up by several conceptual hurdles, among these the problems of relying on elders’ memory culture, particularly at present especially given pressures to generate idealized versions of honored predecessors’ lives. Even if elders are knowledgeable, one cannot unproblematically assume that elder testimony about justice primarily addresses the past. Fienup-Riordan observed that other issues are at stake when considering tribe law: Elders’ testimony addressed as much what they hoped for the future as what they remembered of the past. . . . Here it is important to look at both what Yupiit Nation elders chose to say and what they omitted . . . Their testimony also was rhetorical: They presented the problems of today as proof that ignoring the traditional framework inevitably led to disaster. Their testimony was an ideal view of the past recalled in the present in an effort to influence the future. The value of the testimony is not its documentation of the past. (1990: 197)

In addition, many of the current generation of elders grew up in circumstances that limited their access to native justice practices. Many attended residential schools (or boarding schools, as they are called in the U.S.) that removed them from observing and hearing about how their elders handled conflict and contradiction. Officials at residential schools attempted to stop the use of indigenous languages, and, thereby, the transmission of key ideas. Most of the current elders grew up in the period after the effective repression of indigenous languages, which embed and contextualize justice concepts, but in addition, communities were restricted by Indian agents from applying culturally appropriate sanctions and controlling their own communities. In sum, justice practices have been subject to government intervention and are, consequently, historically volatile. Llewellyn and Hoebel (1941, and see Hoebel, 1967) were among the first scholars to attempt to systematically reconstruct the laws of Cheyenne and other American

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Indian tribes. They searched for general principles of the law through a process of boiling down case law as described by elder informants. This approach runs the risk of assuming that indigenous practices were bound to general principles and that one can generalize across family and community boundaries. Often, restoring indigenous justice has been reduced to finding the lowest common denominator, merely those things held in common, as in Hoebel’s attempts to eliminate contradictions between elder informants. At best, contemporary scholars can report on how members of the current community understand the practices of their own predecessors and supplement this with how elders and others of earlier generations understood and explained these issues in their own times. Some inferences can be drawn from historical and ethnographic materials. This can create a sort of suggestive pastiche, not necessarily specific to place or time. Further, because many of the present-day elders have themselves read the available ethnographic materials about their own relatives, ancestors, and communities, there is a curious reverberation between oral and ethnographic materials. Indigenous perspectives on the law have long been influenced by European legal notions, and vice versa, and previously foreign ideas are now presented as received wisdom in communities. Members of present-day communities frequently assert their own rights to English common-law principles, such as habeus corpus and protections under the American Bill of Rights, and express reservations about prior tribal law which appears to emphasize the collective rather than the individual. And, there is the pull between ideal representations of aboriginal law, that is, how it ought to have been and ought to be, and the real-world enactment of aboriginal justice by community members. However, justice deals with disagreement, conflict, dispute, wrongdoing, and the real as opposed to the ideal, by its very nature. It is often in conflict that the tension between the ideal and the real is most felt, and justice has likely always had this tension. Although one might capture, to some degree, snapshots of tribal justice at one or more moments, the practice of justice itself continues to change. Understandings of tribal law, then, are historically decontextualized, situated in some particular moment, or reconfigured to address contemporary life. Significant changes arose after regular, sustained contact with non-natives in the 19th century, and are reflected in historical shifts, and, likely, with increased regimentation of justice practices. Accounts of aboriginal justice, as a result, vary somewhat depending on the time period under consideration. However, toleration for some differences in practices and viewpoint is a hallmark of indigenous society, and the practice of aboriginal justice reflects this.

W H AT W E R E P R I O R J U S T I C E /L AW P R A C T I C E S ? Despite these problems in determining the nature of tribal law, ethnohistorical, ethnographic, and oral materials do allow some conclusions to be drawn. There were, however, significant differences between groups in the practice of justice and law at the time of the intrusion of the state. These differences appear in the aims of justice practices, in their scope, in procedures, and in underlying concepts. Differences reflect the varying emphasis on social hierarchy, demographic variables such as population density, and the nature and productiveness of the landscape. (The state

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societies of Mesoamerica, with their dense populations, extreme emphasis on class and hierarchy, specialization, urbanization, and reliance on the tribute from surrounding peoples are not under consideration here, even though they influenced indigenous societies to their north in what is now the United States.) Generally, indigenous justice focused on the practical issue of maintaining working relations with constituent groups within society and with neighboring peoples. Peoples everywhere were concerned to preserve work groups and their access to the pool of labor in order to carry out economic activities. Further, since most American Indians relied on a variety of locations to acquire their provisions and raw materials, careful attention was given to maintaining passageways by water and by land, and the rights to use these locations or to engage in trade. Communities simply could not afford to lose their livelihood or to allow members to unnecessarily provoke neighboring communities into retaliation. Justice practices were not solely aimed at good relations with humans, however, and considerable attention was given to the management of proper relations with powerful and potentially dangerous immortal beings who share space with humans and influence human activities. Coast Salish myths recount the stories of children who mistreat salmon as they swim upriver to spawn. These children are typically killed or harmed by the spiritually powerful salmon. Salmon are thought to be ancestors of humans (and humans descendants of salmon), and salmon are conceptualized as organized into communities and living much as humans do prior to assuming their form as a species of fish in order to swim upriver. The chief of the salmon meets annually with the appropriate human leader, and together they reaffirm the agreement that humans will treat salmon with respect, and, in return, salmon will offer their bodies as food to humans. With proper treatment, the same salmon will return the following year. This engagement was (and is) performed ritually in the annual First Salmon Ceremony. The flesh of the first salmon to be caught is shared among all of the people present and the bones ritually collected and returned to the water. This constellation of concepts gives rise to what might be termed environmental law; particular prohibitions regarding the harvest of the salmon are paired with sanctions for their violation. All of this is regulated by the spiritual leaders who parlay with the Salmon chief. Similarly, Pueblo peoples of the Southwest historically relied on religious leaders to arrange community relations with plants, which are also regarded as powerful, conscious beings. These Pueblo leaders determine the planting schedule and violations are sanctioned. In many American Indian societies, critical social relations with animated non-human beings are managed by people such as those just described. They are ‘‘Real People,’’ those with the spiritual training necessary for the purity required to be acceptable to the equivalent members of the immortal world. Real People also manage relations with outsiders, including human outsiders, and this capacity engages them in the processes of defining and acting on legal questions. The focus on the maintenance of working relations was paired with a relative deemphasis on establishing the guilt or the motives of wrongdoers or on procedural law. These issues, which are central to Euro-American legal traditions, were not altogether ignored, but potentially stood in the way of resolving or avoiding problems. In most cases, the identity of the wrongdoer was already known, and the legal processes often required the consent of the wrongdoers and the wronged. Legal processes, then, were

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more about determining how to repair tears in the social fabric than about punishing individuals. In addition, some people were thought to act wrongly because of spiritual forces beyond their control, in which case a search for a motive would be pointless. Also, the Coast Salish, and some other societies, attributed wrongdoing to the intrinsic nature of people from lower-class families who were not spiritually strong and who lacked the training to know how to behave. In this case, too, there was no motive to be discovered and those who misbehaved simply had to be restrained from damaging social relations. Furthermore, personal crimes were not generally defined as offenses against the abstract society, but rather were breaches of relations between individuals, families, clans, other constituent groups, spiritual beings, or tribes. For this reason, many indigenous communities practiced the wergild, and restitution between families to re-establish social relations could take the form of punishment of family members other than those who had created the breach. A famous mid-19th-century example concerns a white man, Colonel Ebey of Whidbey Island, Washington, who was decapitated by Haida Indians following the killing of a high-ranked Haida by whites. Ebey was chosen because he was the highest-ranked local white man and not because he had been personally involved in any murders. In addition, although the focus was not placed on motives, motiveless crimes were not dismissed, but, rather, were also included in legal processes. If, for example, someone accidentally killed a hunting partner, redress was still sought by the family of the deceased, and relations between families jeopardized until justice proceedings were undertaken. In the Coast Salish world, this often involved meetings between senior family leaders and, eventually, the hosting of a feast for the family of the deceased. Because the purpose of the feast was the re-establishment of regular social relations, and not merely the rebalancing and conclusion of relations, the family of the deceased might later host the family of the killer. For these reasons the concepts of ‘‘wrongdoer’’ rather than criminal, and of ‘‘dispute management’’ or ‘‘dispute resolution’’ rather than the concepts of punishment and the payment of an individual’s debt to society, are appropriate. There were circumstances in which discovering the identity of a wrongdoer was crucial in order to prevent future harm. Among the Coast Salish, spiritual means could be used to ritually cleanse houses of dangerous, harmful spirits, and, in addition, determine the human perpetrator of a crime and find the bodies of victims of crimes. All of this would help in the process of resolution and enable the ghost of the deceased to properly exit the world of humans. Tribal law was also characterized by the absence of formal personnel or positions associated with justice. Generally, but with notable exceptions such as Plains tribes’ police societies which arose in the 19th century to manage affairs in large intergroup summer encampments, there were few or no specialized personnel appointed solely to manage justice or legal affairs. Likewise, there were few or no legal institutions such as jails, and formal coercive authority was not ordinarily placed in the hands of individuals. More often, legal affairs were delegated to those who managed internal relations or foreign affairs (the Real People), as in the Iroquois Confederation system of Chiefs or Pueblo religious authorities. The Cherokee of the Southeast centered legal issues on the person of the tribal orator, or ‘‘beloved man,’’ who recited the tribal laws at the annual first-fruit celebration, and a Seven Counselors Court, a peace organization

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composed of officials from the tribal government, among others (Strickland, 1975: 11, 23–24). Law did not operate as a separate social category and was instead embedded in social relations. Because there were few specialists with socially sanctioned legal positions, those who carried out the work of justice achieved their position by virtue of their efficacy; they were called on to act in justice settings because of their capacity to do so and were not engaged if they were ineffective. This was an achieved role, but one which connected to larger issues of hierarchy and rank. Among the Coast Salish, serious legal issues which could not be handled within the extended family or within local society were sometimes referred to senior people from other communities. These Real People, ordinarily men, held no formal position, but were widely respected for their abilities, and, indirectly, their spiritual power which underwrote their capacity to adjudicate. They were from socially important, high-ranked families which provided their own children with the training necessary to seek out powerful spirit helpers. They were also trained in the oratorical skills and formal language necessary to engage and persuade large groups. People from lower-class families were thought to lack the training and background to achieve a position of prominence sufficient to adjudicate in difficult cases. Legal practice was tied directly to the system of cosmology, just as it was tied to other features of cultural and social life. Strickland, writing about the Cherokee, noted the connection between spiritual life and law, observing that ‘‘to the Cherokee, law was the earthly representation of a divine spirit order’’ (1975: 11). In more specific terms, Basso (1996) described the Apache practice of engagement with the animated landscape, which ‘‘stalked’’ people, reminding them of proper behavior, and which people sought out to consider how to resolve difficult justice dilemmas. The landscape prompted humans to recall a repertoire of stories which helped humans think through their circumstances. Similarly, features of the Coast Salish landscape, including mountains and bodies of water, were animated and the sites of stories which provided guidance to those humans who could interpret them. These stories did not act as case law, that is, models to directly guide decisions in future cases. Apaches, Coast Salish, and others do not appear to have attempted to fit the facts of a case to prior cases as in English law, but, rather, deployed their knowledge of previous resolutions of legal difficulties to envision an acceptable outcome. Each circumstance was unique in that it arose from its own spiritual origins, involved distinct people, and could not be fully equated with a previous case. The various systems of tribal law did not readily distinguish between civil and criminal law; either were the cause of upheaval and both called for redress. Tribal justice practices aimed for the maintenance or establishment of working relations as a primary goal and this could be achieved in a variety of ways. One account of Coast Salish justice foregrounds the pragmatic element. The story of the so-called Agassi Boy is about a spiritually and physically powerful man who once lived on the Fraser River in British Columbia. He was guilty of taking other men’s wives and possessions, but he was too dangerous for anyone to directly confront. Consequently, his entire village moved away at night, leaving the Agassi Boy in a state of exile and without the social relations thought necessary to live as a human. He was not otherwise punished. In many cases, avoidance, although not necessarily in such a dramatic way, was a preferred means for dealing with conflict. In the Coast Salish world, whole or parts of

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villages could move away, as in the Agassi Boy story, or individuals could move away to a seasonal subsistence station or with a relative for a time to avoid trouble. The practice of avoidance reflects a concern in tribal law for the timing of justice practices. Unlike European-derived law that creates time limits for some legal issues to be resolved and allows others to proceed agonizingly slowly, tribal law was arranged to correspond to human emotional states. Some issues were allowed to rest until those involved cooled out, and others were conducted quickly in order that critical problems were resolved. A 19th-century Coast Salish example makes this point. One summer night at a multi-tribal encampment along the waters of Whidbey Island a boy suspected of stealing a canoe was apprehended and detained away from his tribe’s camp. The next morning word got out to his relatives, who responded by giving blankets (measures of wealth) to the offended people, who then released the boy. Two issues were at stake: the boy’s high-class family was concerned to protect their family reputation and the lower-class people were concerned about the possibility of reprisals by the high-class family. Both problems were resolved by prompt action. The boy’s guilt and motives were not in question, and, indeed, were not relevant to the larger issues. Tribal law aimed to regulate both the environment and human affairs. Although there were prohibitions against such practices as adultery, and, in some cases, specific compensation for violations, indigenous peoples typically sought out legal remedies with caution. One might say that there was an underlying ethos of non-intrusiveness and non-intervention. There were a number of reasons for this; there were generally no law or justice officials to appeal to and other people were spiritually powerful in ways that were not always clear, and hence it was best to avoid confrontation. To some measure, wrong behavior could be treated in other ways. Among the possible indirect sanctions against wrongdoers were shaming, gossip, and, notably, allowing natural processes to take their toll on the wrongdoer. Spiritual sanctions were used to explain unexpected illness or misfortune of those who had acted wrongfully. The reliance on spiritual forces to rebalance some problems is consistent with the idea of voluntary compliance in engaging in justice procedures. There is another side to this story, however, and non-interventionism and noncoerciveness does not characterize all of indigenous justice. Some problems were directly and violently confronted. Coast Salish and others used antagonistic competitive singing and fighting as forms of conflict resolution. Banishment from village life was another practice. Even greater force was sometimes used. A Coast Salish story tells of a man who waited along the riverbank and ambushed his brother, who then drifted downriver, lifeless, in his canoe. The man did this because the brother was spiritually dangerous and had killed community and family members. It was dangerous to confront him directly and it was apparent that he would continue to commit murder. There were no legal proceedings beforehand other than family discussions, and members of other families did not interfere. Rather, the family acted on its own. Another story tells of the killing of a man who persisted in disturbing members of the neighboring tribe. Fearing reprisal and the seizure of some of their lands, family members acted to end this threat. These stories reveal yet another characteristic of tribal law, namely, the inclination to resolve problems as locally as possible. Offenses between individuals were often handled strictly between themselves. Great emphasis was placed on the role of the

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extended family leadership, although outsiders could be called in if necessary. In the case of inter-family conflict, families attempted third party intervention only if their own leaders could not resolve the conflict. If these methods failed, and in the absence of any tribal or state-level mechanism for redressing conflict, one dreaded consequence was blood feuding. Although indigenous societies developed a range of sophisticated techniques for avoiding and redressing conflict, the blood feud (unrestrained and persistent conflict between social units) was a major dilemma among American Indians. Tribal law addressed the social problems that arose from continuing contradictions in society. In the case of the Coast Salish, the tension between post-menopausal women and men over issues of authority, between women’s birth families and their consanguinial families over women’s loyalty, and between high-and low-status families and individuals, all created regular difficulties that could potentially erupt into significant disputes. Justice processes managed, but did not resolve, these dilemmas. Individual manifestations of social problems, however, were thought to be formally resolved at the completion of the appropriate justice process, never to be raised again. This prohibition enabled wrongdoers to be fully restored to the community and to re-engage their productive work, an outcome that benefited the group as a whole.

T R I B A L L AW /J U S T I C E I N I T I AT I V E S I N T E G R AT I N G T R I B A L L AW

AND THE

PROBLEMS

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Current efforts to understand prior practice are only of use if they can be comprehended and applied by the entire community, regardless of what might once have been the practice or the cultural ideal. This idea is well understood in indigenous communities where many hold a ‘‘fluid understanding of traditional law’’ (Ryan, 1995: 66). Ryan noted, for example, concerning collaborative efforts to restore Dene justice, that ‘‘our goal is to explore what traditional values people can take forward upon which to build a current rational way of dealing with problems of social and personal control’’ (1995: 66). Similarly, Warry invoked the distinction between custom (a particular cultural practice) and tradition, ‘‘the appeal to values and actions that sustain customs or provide continuity to a social group over time’’ (1998: 174–175). Indeed, many community elders and leaders hold the view that justice as it was once practiced must be adapted to current circumstances, but within a traditional frame of reference. There are many instances of this process of adaptation over the last two centuries. One of the best known and most significant early examples is the Cherokee Republic court system established prior to the Cherokee removal from Georgia and Tennessee to the Indian Territory, now Oklahoma, in 1838–9. Strickland notes that this court system ‘‘emerged not from a single act but a gradual acculturation process fusing tribal law ways and Anglo-American legal institutions’’ (1975: xi). Cherokee counselors wrote laws, and justices heard 246 cases over the thirteen years between 1823 and 1835, although the first written law was in 1808 (ibid.: 103). A tribal system established in the Indian Territory in 1844 employed a range of court officials, judges, sheriffs, and others, in common with courts of the mainstream system.

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A successor court system created by the Cherokee Nation operated until it was abolished by the federal government in 1898. Indian agents, representatives of the federal government, operated their own ad hoc system of courts, often with trusted Indians serving as subordinates. In 1883, the Secretary of the Interior authorized the creation of Courts of Indian Offenses. Indians served as jurists in these courts, and the system was modeled after the justice of the peace system. No enabling legislation accompanied the creation of this system, however, and these tribal courts remained fragile (Pommersheim, 1995: 62). The courts wrestled with the difficult questions of jurisdiction and regarding who ought to be considered an Indian following the allotment process of the Indian lands and the influx of settlers and mixed-blood families. Today, about 25 descendants of these courts remain, known as CFR courts, or courts under the Code of Federal Regulations. These courts do not apply Indian law, but have engaged Indian personnel as police and court officials. Federal efforts at reform produced the Indian Reorganization Act of 1934 (IRA), legislation which allowed for tribes to create their own governance, in particular, councils, constitutions, laws (commonly referred to as tribal code), and court systems. This legislation did not sponsor the re-establishment of any prior system of justice, although tribal courts have gradually combined indigenous practice and adapted state and federal law. In the case of the Coast Salish of Puget Sound, Washington State, a court decision awarding them half of the salmon catch under the terms of mid-19th-century treaties led to the need for tribal venues to prosecute Indian violators of fisheries law. This, in turn, led to the gradual elaboration of a tribal court system with a fuller range of code, including criminal and civil law. These tribal courts have many options regarding how they might be structured, and variously incorporate tribal law practices. For example, some courts allow for the creation of an elders council to advise the sitting judge on prior practice. Others allow for particular elders to be called in when needed. Still others allow for the judge to use the ‘‘spirit of tribal law’’ in making decisions. In addition, tribal codes attempt to directly incorporate tribal law into contemporary tribal codes. For these reasons, there is a considerable debate among Indians of the United States and Canada regarding the nature of tribal law and how it should be applied. Among these vexing questions is who has the authority to speak regarding tribal law. An interesting example arose on the Makah reservation in Neah Bay, Washington during a difficult period in the late 1990s when the tribe attempted to once again exercise their lapsed practice of hunting whales. One woman denounced the practice, citing her authority as an elder as the grounds on which she could make her claim. Others, however, called for her to be quiet, noting that she was not the descendant of a chiefly whaling family, implying that she had no grounds to exercise authority regarding tribal law about the environment. This is an example of the contest between claims based on elderhood and on social status. Further, there are struggles between members of numerically dominant and socially powerful families and smaller, less influential ones over the extent to which their family view of tribal law might prevail. Similarly, many communities struggle over who is ‘‘traditional’’ and thereby maintains the right to influence tribal affairs as opposed to those who have left the tribal territories or are thought to have acculturated into mainstream ways, or to have internalized white views of religion, law,

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knowledge, or governance. Finally, tribal youth have increasingly challenged the right of those in authority in tribal governance to determine tribal policy, including tribal law. Reservations are now more diverse and complex than they once were, adding further to the debate about the future of tribal communities and the role of tribal law. For example, the Pentecostal church has significant numbers in many indigenous communities, and emphasizes membership in the church, rather than membership in the tribe. In some cases, Pentecostals have advocated resisting traditional practice. In one Tlingit community of Alaska, for example, masks associated with sacred winter ceremonials were burned in 1992. This category of masks is tied to an ancient system of prestige, social hierarchy, and traditional modes of social control, and burning them represents a repudiation of this system of laws (Dombrowski, 2001). Meanwhile, in some locations prior spiritual practices, such as the Winter Ceremonials in the Coast Salish region, or the use of sweatlodges and the medicine wheel, have regained prominence, and are associated with an increased call for adherence to tribal law. The resolution of these debates varies with each community and will no doubt continue to shift. These debates are carried out in particular modes of discourse, all of which influence current understandings of tribal law. Because tribes continue to differentiate themselves from the mainstream, and especially mainstream justice, in order to create political space for the continuing development of tribal governance, there is an inclination to find tribal law to be the opposite of the Anglo-American system of law. The emphasis on binary thinking imposes its own distortions. For example, a significant discourse emphasizes links between tribal law and the establishment of harmony, peace, and good relations between tribal members. Many community members publicly espouse the view that conflict and violence are solely the result of the intervention of whites and that pre-contact society can be characterized by regular and harmonious relations. Nader (1990) has referred to this as a ‘‘harmony ideology’’ which she sees as arising after the period of contact and as a result of the need to create community cohesion under difficult conditions and to hold off the influence of the outside world. The harmony approach has led to the introduction of ‘‘peacemaker’’ courts which foreground the role of tribal law in resolving social conflict within the community through the use of non-formal, non-adversarial processes. A related discourse holds that tribal law can be characterized as emphasizing healing. In this view, tribal law is more than simply a cultural emphasis on solidarity and tranquility, but, rather, is itself a force that can be applied to removing the destructive influences of contact with the mainstream and of furthering the process of decolonization. The application of tribal law, then, provides a means of overcoming alcoholism, the legacy of residential schools, poverty, sexual and child abuse, and alienation by restoring mental health, right relations between individuals and families, and the prior practices of reciprocity. All of these ideas are commonly glossed as ‘‘respect.’’ Proponents of this approach advocate tribal justice programs that include counseling by elders and spiritual leaders, training in life skills, and alternatives to adversarial justice. This approach dovetails with the current trend in the mainstream alternative dispute resolution movement to emphasize ‘‘transformative’’ justice. In addition, the approach overlaps with and is influenced by the self-help rhetoric derived from social work, psychology, and the New Age movement. References to

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the psychologist Maslow, the proponent of a view of human behavior as responding to core needs before secondary ones, for example, are sometimes made within this discourse. Yet another, related, approach to tribal law emphasizes its spiritual nature, as illustrated by Strickland’s 1975 views of 18th-and 19th-century Cherokee law. Tribal law is thought to be handed down by the creator or by other spiritual entities, and therefore is immutable and best comprehended by elders and spiritual leaders. One extreme Coast Salish interpretation, for example, argues that land cannot be used for any purposes other than those used at the time of contact; buildings cannot be removed or added. Nor can natural resources be extracted in a manner other than that at the time of contact. This approach, in some of its guises, is an ahistoric fundamentalism which privileges particular members of the community and disqualifies others, particularly those who do not engage in traditional spirituality, from participation in the process of examining tribal law. The ‘‘spiritual’’ approach to tribal law, as with the healing and harmony discourses, challenges contemporary materialism and the de-emphasis of family and kin, and promotes the importance of community self-reliance and the role of indigenous communities in preserving and protecting the natural environment. In pointing to differences with the mainstream, the spiritual approach to tribal law embraces the particularism of tribal life and rejects the universalizing, secular rationalism of American society. Tribal court systems face a number of complex problems, including what process to use in generating tribal code, how to create legitimacy in the eyes of the tribal community, surrounding jurisdictions and funding sources, and how to balance the competing interests in communities. Tribal legal systems are created by authority of the tribes themselves; this authority is not delegated from state or federal government. Tribal code is ordinarily created through one of several routes. Code writers are commonly employed to prepare drafts of tribal code which can be given force of law by resolution of the council itself. Often code writers are non-Indians trained in U.S. law, and as such, may view tribal law and culture from the outside. Communities have responded by creating tribal justice committees to help code writers understand community perspectives and issues. These committees sometimes draft code themselves. Also, code can be created at the suggestion of tribal members and by resolution at tribal annual general meetings. Tribal courts can also use, at their discretion, municipal, state, or federal law. Although some commentators have suggested that tribal codes have little of the flavor of tribal law, this need not be the case. Instead, the case seems to be that tribal codes and the practice of tribal judges have come to more closely approximate tribal law over time. While tribes sometimes import ‘‘boilerplate,’’ legal language from mainstream or other tribal jurisdictions, tribes then move to gradually tailor tribal code to local understanding and cultural practices (Miller, 1997). A related issue is whether tribal courts more closely approximate mainstream courts than prior justice practices in their reliance on the trappings of law found outside Indian country, including bailiffs, police, and judges. Further, tribal courts, to the degree to which they incorporate adversarial concepts, are thought to be nonindigenous in nature. But in this case, too, surface appearances are deceiving. Although tribal courts frequently do use adversarial processes, many also use other processes more in line with prior tribal law. Freestanding programs, including

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Peacemaker courts, such as found among the Navajo, offer alternative processes. In other cases, alternative routes exist within tribal legal systems alongside adversarial processes. For example, in one Coast Salish tribal court, litigants who mutually agree can have their case processed through family feasting, thereby incorporating tribal law both in the body of the judicial process and in sentencing. Despite these possibilities, tribal courts frequently struggle to establish their places in the communities. The long history of alienation of tribal control over justice, the domination which is characteristic of colonialism, and the poverty experienced in many communities have made many tribal members cynical about the application of political power, even by their own members. The fracturing of community solidarity over the last century further strains the credibility of tribal governance, including legal systems. Tribal members themselves sometimes regard tribal courts as the creations of the mainstream society because of their origin in the Indian Reorganization Act. They are seen as instruments of outside authorities and not as legitimate vehicles for tribal law (Pommersheim, 1995: 67). Other tribal members, however, reject tribal courts because they do incorporate features of prior practice and because they appear to fall below state and federal standards, particularly in the provisions for the separation of powers and in the provision of due process. Some simply fear that tribal courts will reflect the will of the dominant families on the reservations or within the tribe. Perhaps the most difficult test tribal courts face is in balancing the interests within the tribal community, arguably, a core characteristic of prior tribal law. In particular, tribal justice systems must consider the rights and interests of individual members of tribal society, families (or clans, in some cases), and the tribe itself. Domination of tribal life by powerful individuals and families has the effect of eroding the legitimacy of the tribal justice system and the cohesion of the tribe itself. Alternatively, domination of the community by an autonomous council leaves individuals and families unprotected. There is not necessarily a single route to balancing these interests within the spirit of tribal law, and studies from Puget Sound indicate that these critical questions might be addressed in a number of ways within a current understanding of tribal law. In the codes of the Puget Sound tribes, the individual is contextualized culturally, not merely as a holder of inalienable rights and worth, but within one or more social roles, and within a legal system which allows for aboriginal conceptions of the collective to be considered. Tribal code both places community members within a legal context (situating people as members of the community, as adults or children, as members of extended families, and so forth in relation to others) and serves as a text by which social discord is mediated. Significantly, the everyday social context, even in the present, incorporates social beings other than human beings and, therefore, consideration of the set of human–human relations must be supplemented with human–non-human relations as well. Provisions for the application of current understandings of the spirit of tribal law, which pertain in one form or another in the codes, allow for contextualizing of the individual litigant at either the point of sentencing or during the trial itself. One tribal youth code provides that ‘‘tribal law or custom shall be controlling, and where appropriate, may be based on the written or oral testimony of a qualified elder, historian, or other tribal representative’’ (cited in Miller, 1995: 155). Another allows

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that ‘‘if the course of the preceding be not specifically pointed out by this code, any suitable process or mode of proceeding may be adapted which may appear most comfortable to the spirit of Tribal Law’’ (ibid.). The following examples illustrate the direct application of the ‘‘spirit of tribal law.’’ In one case, the tribal appeals court ruled that tribal custom creates a fundamental right of individuals to speak on any matter of concern, including issues being litigated. The ruling recognizes the individual within the cultural setting and localized notion of rules of evidence (Miller, 1997: 127). In a second case, rights of individuals are restricted. The tribal court held that although the U.S. imposed a Bill of Rights because of a history of abuse of minorities, the tribe had no such history nor cultural practice, and therefore the Tribal Bill of Rights need have no provision analogous to the Sixth Amendment (ibid.). In a third case, the tribal court rejected an appeal lodged on the grounds of the failure to employ the exclusionary rule regarding pre-trial testimony (which was formulated to proscribe police misconduct) because it does not take into account Indian cultural background and community common knowledge (ibid.). Here, in effect, rights of the individual are limited in favor of the community through the expectation that individuals share cultural understandings. One of the key points of debate about tribal law concerns the degree to which indigenous societies were collectivist in orientation and, consequently, the relevance of individual rights in society. Tribal code represents an ever-changing resolution to this question, although the issue does not seem to be one in which a binary opposition between collectivism and individualism gets at the heart of the matter. Pocklington and Pocklington, in considering the issue of nepotism in Indian politics, note that universalistic precepts of the polity stem from a political ideal that stresses personal autonomy (1993). The familial/parochial precepts, which are said to generate nepotism, on the other hand, emerge from a conception of polity that stresses community and the collective. Paradoxically, then, individual rights are connected to the universal and communal rights to the particular. This is one sense in which drawing a distinction between collective rights and individual rights fails; both individual and collective are connected to some conception of the greater good, but defined in differing ways. In the case of contemporary Coast Salish societies, a set of corporate extended families make up the tribal community, but do not of themselves constitute the collective. In fact, the extended families are widely regarded by Coast Salish people as particularistic in nature and as acting to defend their own interests at the expense of the large collectivity. Some Coast Salish people argue the other side, holding that the creation of legal rights of individuals and of the tribe violates the rights of the corporate extended family, which itself ought to be regarded as the primary social body, the collective. The differing emphases heighten the difficulties facing those creating codes in balancing interests within the tribe. The tribal codes and constitutions create complex, overlapping systems of legal statuses. Men and women are treated by the codes as undifferentiated individuals with entitlements (interests in community-held resources of various sorts). These legally distinct individuals are restrained in their interests by two other sets of interests, those of the tribe, and also, in limited ways, the rights of family networks. Secondly, men and women are legally members (citizens) of the tribe (and, also, of the community),

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and as such are entitled to residence in Indian country and are shareholders in community assets (such as fisheries resources, education programs, Indian Health Service care, and reservation housing). Community membership alone does not confer these entitlements. Thirdly, in most codes men and women have legal standing as extended family (these are sometimes referred to as family networks) members. As such, in some tribes, people are entitled to make claims to fishing locations (under customary provisions of use-rights), and rights to over-sight over the children of the family network. In addition, the law places restrictions on citizens on the basis of kinship affiliations that overlap in various ways with membership in corporate, temporal family networks. For example, several of the codes restrict individuals from running for office in the event that a relative is a sitting member of council. Finally, people with children are legally parents, with an array of parental rights and obligations. The various legal statuses an individual may occupy are not fully compatible (in part because of the long history of federal policy and court rulings which have imposed and reconstructed concepts of membership), a circumstance which leads to significant disagreement in the communities. Some people residing on the reservations are legally members of the community but not members of the tribe (some are legally members of other tribes, others are non-Indians). A further complication is that some non-tribal members who are resident on the reservation are family network members and hold legal rights as such. They may, for example, have priority in adoption or in provisions for the care of extended family children, or may have legal rights to attend family-sponsored ceremonial events while incarcerated. These incompatible statuses give rise to role-conflict. A recent debate, for example, arose over whether community members who were not tribal members were entitled to treaty fishing rights, a vital resource. In this case women’s statuses as tribal members were in conflict with their role in provisioning family members. The legal codes differentiate on the basis of age and other criteria. Legal minors are distinguished from adults in a variety of ways. Adult men and women assume secondary legal statuses as owners of real property, as heirs to the property of others within the community, as members of a regulated community which provides rights to safety and comfort, as voters and potential tribal councilors, as official tribal committee members, and as jury members or witnesses. There are significant practical problems facing tribal courts which affect both the courts’ legitimacy in the eyes of community members and their capacity to act. Because many community members fear the influence of the larger extended families, they believe that the court will reflect the interests of these families and fail to protect everyone else. Conversely, community members fear that the legal system, including tribal police, may be unable to protect them against reprisal if they use the legal system by filing criminal complaints or civil actions. In effect, the tribal court systems appear to members to be both too powerful and too weak. In some cases, tribal members have moved out of the reservation community and beyond the reach of the tribal court, or have given up tribal membership, in order to avoid having to serve on a jury or give evidence, or to attempt to avoid prosecution. One response to these problems has been the creation of intertribal appeals court systems that allow issues to be addressed away from the local practice of power and domination, but within the tribal legal system.

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A related issue is that of the separation of powers. Because authority for the courts to act is expressly delegated from the tribe itself, and because tribal constitutions do not always clarify this issue, the possibility remains for tribal councilors to intervene in court rulings. Tribal practices from an earlier period did not ordinarily distinguish between justice and politics and there were ordinarily not separate venues for these. Further, the people acting on political and justice practices were often the same in prior periods. In the Coast Salish case, the Real People, family leaders, and those with regional reputations for spiritual and intellectual ability acted on justice and other matters of importance. Perhaps for this reason there is reluctance to easily separate court and political proceedings, and for some, doing so appears to violate tribal law. For others, the separation of powers is fundamental to establishing equitable governance. There is a similar question regarding the relationships of the members of the judicial system to the community. One trial judge from the Northwest Intertribal court system has expressed the opinion that he, an American Indian, but not Coast Salish, ought to remain outside of the social network of Coast Salish life. He chose not to buy a home in the region or to attend spiritual functions in order that he might operate at arm’s length from the community. Another judge from the same court system took the opposite position, however. Although she, too, was from a different culture group, she chose to immerse herself in Coast Salish culture in order to become expert on tribal law and to act within its spirit. In other cases, tribal court judges are members of the community and face the difficult problem of remaining neutral in legal matters. This position, however, appears to contradict prior practice, in which the principals in the resolution of disputes were directly situated, often as heads of families at odds. Even outside men of high standing had connections to the parties to a dispute they were asked to help resolve. Some judges are not members of the community or indigenous people, such as Judge Pommersheim, Chief Justice of the Cheyenne River Sioux Tribal Court of Appeals. These issues, the relationship of the judges and the community, the separation of powers, and the relationship between the collective and the individual, all foreground the problem of the relationship of the inside and the outside. Tribal law has been characterized as intimate, non-institutional, and offering resolution at the lowest possible level. Spiritual privacy and the autonomy of the individual further characterize many indigenous societies. The growth of legal institutions appears to erode the importance of these characteristics and to implicate problems previously held inside the individual or group with the community outside. Despite these problems, tribal courts now play an important role in communities’ efforts to work out relationships between individuals, families, and the tribe and in the development of self-government.

REFERENCES Basso, K. H. 1996: Wisdom Sits in Places. Albuquerque: University of New Mexico Press. Dombrowski, K. 2001: Against Culture: Development, Politics, and Religion in Indian Alaska. Lincoln: University of Nebraska Press.

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Fienup-Riordan, A. 1990: ‘‘The Yupiit Nation: Eskimo Law and Order.’’ In Essays: Yup’ik Lives and How We See Them, ed. A Fienup-Riordan, pp. 192–220. New Brunswick, NJ: Rutgers University Press. Hoebel, E. A. 1967: ‘‘Law Ways of the Comanche Indians.’’ In Law and Warfare, ed. P. Bohannon, pp. 183–294. New York: National History Press. Llewellyn, K. and E. A. Hoebel 1941: The Cheyenne Way. Norman: University of Oklahoma Press. Miller, B. 1995: ‘‘Folk Law and Contemporary Coast Salish Tribal Code.’’ American Indian Culture and Research Journal 19(3): 141–164. —— 1997: ‘‘The Individual, the Collective, and Tribal Code.’’ American Indian Culture and Research Journal 21(1): 127–135. Nader, L. 1990: Harmony Ideology: Justice and Control in a Zapotec Mountain Village. Stanford: Stanford University Press. Pocklington, T. and S. Pocklington 1993: ‘‘Aboriginal Political Ethics.’’ In Corruption, Character and Conduct: Essays on Canadian Government Ethics, ed. J. W. Langford and A. Tupper, pp. 42–66. Oxford: Oxford University Press. Pommersheim, F. 1995: Braid of Feathers: American Indian Law and Contemporary Tribal Life. Berkeley: University of California Press. Ryan, J. 1995: Doing Things the Right Way: Dene Traditional Justice in Lac La Martre. Calgary: University of Calgary Press. Strickland, R. 1975: Fire and the Spirits: Cherokee Law from Clan to Court. Norman: University of Oklahoma Press. Warry, W. 1998: Unfinished Dreams: Community Healing and the Reality of Aboriginal SelfGovernment. Toronto: University of Toronto Press.

FURTHER READING Brakel, F. 1979: American Indian Tribal Courts: The Costs of Separate Justice. Chicago: American Bar Association. Cooter, R. D. and W. Fikentscher 1992: ‘‘Is There Indian Common Law? The Role of Custom in American Indian Courts, Part 2.’’ Center for the Study of Law and Society 46(3): 509–580. Deloria, V., Jr. and C. Lytle 1984: The Nations Within: The Past and Future of American Indian Sovereignty. New York: Pantheon Books. Haberfeld, S. and J. Townsend 1993: ‘‘Power and Dispute Resolution in Indian Country.’’ Mediation Quarterly 10: 405–422. Harring, S. L. 1994: Crow Dog’s Case: American Indian Sovereignty, Tribal Law, and United States Law in the Nineteenth Century. New York: Cambridge University Press. Hoyle, M. 1995: ‘‘ ‘A Fitting Remedy’: Aboriginal Justice as a Community Healing Strategy.’’ In Popular Justice and Community Regeneration: Pathways of Indigenous Reform, ed. K. M. Hazelhurst, pp. 143–164. Westport, CT: Praeger. Leresche, D. 1993: ‘‘Native American Perspectives on Peacemaking.’’ Mediation Quarterly 10(4): 321–324. Miller, B. 2001: The Problem of Justice: Tradition and Law in the Coast Salish World. Lincoln: University of Nebraska Press. Nielsen, M. O. 1998: ‘‘Navajo Courts, Peacemaking, and Restorative Justice Issues.’’ In Commission on Folk Law and Legal Pluralism: Proceedings of the Twelfth International Symposium, Williamsburg, Virginia, July 26 to August 1, pp. 167–184. Ottawa: Commission on Folk Law and Legal Pluralism.

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Tso, T. 1989: ‘‘The Process of Decision Making in Tribal Courts.’’ Arizona Law Review 31: 121–148. Yazzie, R. and J. W. Zion 1995: ‘‘ ‘Slay the Monsters’: Peacemaker Court and Violence Control Plans for the Navajo Nation.’’ In Popular Justice and Community Regeneration: Pathways of Indigenous Reform, ed. K. M.Hazelhurst, pp. 57–88. Westport, CT: Praeger. Zion, J. W. 1988: ‘‘Searching for Indian Common Law.’’ In Indigenous Law and the State, ed. B. W. Morse and G. R. Woodman. Providence, RI: Foris.

CHAPTER

6

Culture and Reservation Economies

Kathleen Pickering

Since the creation of reservations in the 1800s, American Indian communities have experienced conditions of poverty and cultural displacement. Anthropologists have struggled to interpret economic change in terms of culture, to discover the ways in which economic changes accompanying reservation life continue to be culturally mediated expressions of long-held fundamental values and beliefs. The history of reservation economies was, and continues to be, heavily dominated by federal Indian policy. Initial government strategies for reservation economic adjustment emphasized individual Indian agricultural pursuits, with acculturation as the ultimate goal. Another goal underlying many of these federal policy initiatives was to make tribal land and natural resources available for the beneficial uses of interests outside the reservations. With the advent of Indian Self-Determination in the 1970s, new goals for reservation economies emerged as tribes began to exert more control over their own resources. In addition to simply increasing individual income, these tribally determined goals encompass increased social well-being for reservation residents, cultural preservation, and enhanced political sovereignty for tribal governments. As new strategies for developing reservation economies have been implemented, such as industrialization, gaming, and tourism, the potential conflicts between generating cash and enriching social, cultural, and political dimensions of reservation communities have sharpened. In the future, there will be even more diversification among reservation economies, as each tribal community finds its own balance for accomplishing their economic objectives within a cultural and political framework that is appropriate for them.

R E S E RVAT I O N S O C I A L C O N D I T I O N S A larger proportion of American Indians live in poverty than do people of other races. According to the 2000 Census, 4 of the 5 and 12 of the 45 poorest counties in the

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U.S. are within the boundaries of Indian reservations, with from 33 to 56 percent of their populations living below the poverty line. In relation to gender, the highest rates of poverty are associated with female-headed households on reservations. Poverty is a risk factor for many health conditions plaguing American Indians today, such as diabetes, substance abuse, poor nutrition, obesity, vehicular accidents, suicides, and cancer. Health issues also reinforce conditions of poverty, where adults in their prime of life ready to take on important leadership roles in politics and business are disproportionately lost prematurely to heart attack, accident, and other health risks. For example, the average life expectancy of American Indians in the Indian Health Service’s Aberdeen Area is 64.3 years, compared to the life expectancy of the general U.S. population of 76.9 years. Men on the Pine Ridge reservation have a life expectancy of 56.5 years, lower than any other nation in the Western hemisphere except for Haiti. The isolation of many reservations has meant a dearth of private housing developers, and private financial institutions. As a result, the housing stock on reservations has largely been dominated by federally funded housing and by trailer homes that are easy to repossess. Homes constructed under the various Housing and Urban Development programs accounted for more than 80 percent of the new units built during the 1990s on reservation land. The culturally inappropriate construction of public housing clusters, designed and managed without consideration of the traditional, kinbased living patterns of many Indian communities, has been suggested as a key factor creating or exacerbating a number of contemporary social ills, such as gangs, violence, and drug and alcohol abuse. Other reservation conditions include high rates of unemployment, poor infrastructure, and limited educational achievement. As a result, concerns with increasing economic well-being have fostered a wide array of plans to help develop reservation economies.

T H E C R E AT I O N O F ‘‘R E S E RVAT I O N E C O N O M I E S ’’ Reservation communities do not reflect traditional forms of American Indian settlement, but rather were the product of explicit federal policy. Following the Mexican War of 1848, the federal government implemented a new policy of ‘‘reserving’’ lands within aboriginal territory. Prior to this time, the federal policy had been to remove tribal communities to completely different lands to the west, such as Indian Territory, which eventually became part of the state of Oklahoma. Military actions were important in enforcing land cessions and restricting Indian groups to their new reservations, particularly in the second half of the 19th century. Some reservations were settled by more than one cultural group, creating further tensions over the congruence between tribal cultures. For example, the Wind River reservation in Wyoming was established in 1868 through negotiations between the U.S. Indian Peace Commission and the Shoshone tribe. However, two years later the federal government arranged for the Arapaho to share this reserved land with the Shoshone, despite the traditional animosities between these two tribes. Regardless of the specific process, most tribes experienced difficult economic circumstances in making the transition from independent status to reservation status. Whether through land-base reduction or relocation, the horticultural base

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was decimated, wild and domestic animal resources were reduced or destroyed, traditional trade links were severed, raiding was no longer viable, and the use of former lands was severely restricted or prohibited. Consequently, many reservation communities were reduced at least temporarily to dependence on rations distributed at military posts and later through Bureau of Indian Affairs (BIA) facilities. These federal entities became the ruling administrative force on the reservations, independent of the traditional political processes or leadership of each tribe. The federal government viewed reservations as assimilation centers, where there was an intense indoctrination into non-Indian culture. The industrial capitalist work ethic, a sedentary agricultural lifestyle on dispersed family farms, and individualized wealth were among the messages of these newly created ‘‘reservation economies.’’ Traditional education and religion were suppressed, while boarding schools for Indian children were key in the cultural and social war against tribalism (see chapter 17). Rather than helping tribal communities to modify their aboriginal modes of subsistence to meet potentially lucrative markets in the national economy, the federal government uniformly promoted a complete transformation to Euro-American agricultural production. For example, the Makah Indian reservation was well situated to take on a competitive position within the growing commercial fishing industry, and cultural interests of the Makah made the traditional activity of fishing much more attractive than farming. However, government officers continued to promote agrarian policy in a region where farming was always problematic, and viewed Makah interest in the fishing industry as an unprogressive attachment to old unacculturated habits. The 1928 Meriam Report, prepared at the request of Congress, found a startling lack of economic progress on Indian reservations. The BIA was heavily criticized for failing to protect Indian property from white encroachment, for discriminating against Indians in favor of white labor and businesses, for keeping poor records of land and business transactions, and for abysmal reservation health conditions. The Meriam Report recommended that a corporate form of organization be created for tribal property, so that reservation natural resources could be administered and developed centrally, rather than privately on individual allotments. The vision in the Meriam Report for fostering economic advancement of American Indians was ultimately embodied in the Indian Reorganization Act of 1934 (the IRA), promoted by Commissioner of Indian Affairs John Collier. By reorganizing their government into a constitutionally based tribal business council, tribes could recover control over the sale and lease of tribal lands from the BIA (see chapter 12). The constitutions could also provide terms for tribes to manage their own affairs. Collier wanted each tribe to be given the maximum measure of control over their economic life and, in particular, over expenditures of their own funds. Selfdetermination was the way to end federal supervision of Indians. Unfortunately, the ‘‘reforms’’ offered by the IRA failed in large part because they were imposed upon tribes, who did not see these elaborate proposals as answers to their own wants and needs. Furthermore, the BIA, through its exercise of trust authority over tribal and allotted lands, continued to set the rates at which land was leased and excavated by large-scale ranching operations and major corporations.

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Support for tribal self-governance reached another low ebb with the passage of House Concurrent Resolution Number 108 in 1953. This Resolution allowed Congress to pass specific legislation terminating treaty relationships with various tribes, denying them legal existence as tribes. Between 1954 and 1962, termination affected about 3 percent of the Indian population, most notably the Menominee, Klamath, and some groups of Paiute in Utah. Termination had a devastating impact on their reservation economies. Through a distinct process, Alaskan Natives have been removed from the technical definition of ‘‘reservations.’’ Under the Alaska Native Claims Settlement Act of 1971 (ANCSA), more than 200 million acres of Alaska were removed from aboriginal title, while 45 million acres were set aside for native corporations. ANCSA created local corporations for each of the 210 recognized Native villages, and created 13 regional corporations, of which Alaskan natives became shareholders. According to the U.S. Supreme Court in Alaska v. Village of Venetie (118 S.Ct. 948), by creating these corporations, Congress extinguished tribal territorial political control and moved Alaskan Native villages outside of ‘‘Indian Country’’ (see chapter 13). A new era of tribal self-determination was entered with the 1975 Indian SelfDetermination and Education Act (P.L. 93-638). While the tribal interests and rhetoric surrounding the act celebrated the return of more expansive notions of tribal sovereignty, the reality of the Act was a more limited contracting mechanism. Tribes were given the option of contracting with the federal government for selfadministration of programs historically controlled by the BIA, such as public safety and education. This act initiated a dramatic differentiation among reservations, as tribes now span a spectrum from having no ‘‘638 contracts’’ and continuing with total BIA administration, to those having contracts for all possible administrative duties and programs from the BIA. Self-determination meant that tribes could begin to test the theory that they could manage their own resources and affairs better than the BIA.

LAND Fundamental to reservation economies and the political sovereignty to manage them is the possession of land. The historic process of treaty negotiations ceded millions of acres to the federal government, in exchange for a recognized right to occupy reserved lands, called reservations, and exercise self-governing authority over those lands (see chapter 12). The General Allotment Act of 1887, also known as the Dawes Act, was used to break down communalism and provide each individual Indian household with ownership of a specific number of acres upon which it could engage in agricultural pursuits. The Dawes Act also opened reservation lands for white settlement, since any lands remaining after individual Indian allotments were made were declared ‘‘surplus,’’ unnecessary for the tribe. These lands were viewed by Congress as vital to the economic development of the country by providing white ranchers and businessmen with new resources, despite the treaty commitments that legally protected these lands for exclusive Indian use. A further purpose of allotment was to assimilate tribal members into Anglo culture and dissolve tribes as sovereign entities.

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Under the act, each Indian allottee would eventually receive both citizenship and full title to their land. The Dawes Act resulted in significant loss of tribal land and the compression of the Indian population, both through the sale of ‘‘surplus’’ land, and through the sale of allotments by individuals who had received full title to their land. In all, more than 100 million acres were transferred from tribal hands into the hands of non-Indians through implementation of the Dawes Act between 1887 and 1934, when the Indian Reorganization Act ended allotment. When allotment is combined with treaty cessions of land, the tribal land base shrank from over a billion acres in 1848 to some 34 million acres by 1934. More than half of the 40 million acres originally allotted to individual Indians was lost to non-Indian owners through fraud, poverty, and manipulation. The negative effects of the Dawes Act continue today, as the U.S. Supreme Court continues to interpret this act as a historically legitimate expression of Congressional intent to renounce tribal sovereignty within the internal boundaries of reservations, despite Congressional restoration of tribal sovereignty under the IRA in 1934. A long history of federal action appropriating land in violation of or without benefit of negotiated treaties resulted in numerous legal actions by tribes attempting to restore their lands. In 1946 Congress created the Indian Claims Commission in an effort to settle all outstanding native land issues once and for all; the commission issued a final report in 1978. The enabling legislation, however, limited the power of the Commission to making monetary compensation only. No land could be restored unless a specific Act of Congress was passed. Ultimately, not all tribal claims to aboriginal lands were resolved. Some of the successful land claims resulted in large monetary compensation that was used by the tribes as seed funds for economic development. For example, the Shoshone tribe used a favorable 1939 land claim judgment to purchase more land and begin a tribal ranching operation. Similarly, the Zuni tribe of New Mexico received $25 million for their lost lands, which, together with a $25 million congressional appropriation under the Zuni Land Conservation Act of 1990, is in a permanent trust fund, with interest being used to implement a permanent sustainable resource development plan. Other tribes have refused monetary compensation in determination to have their aboriginal homelands returned. The Lakota tribes, for example, were found to have been unlawfully separated from their ownership of the Black Hills, and were awarded $50 million, but have refused to accept monetary compensation and continue to press for congressional action for return of the Black Hills. The Pit River (Achomawi) Indians of northern California also rejected award monies from their land claim because of their desire for return of land itself. Congress has acted to pass a significant number of settlement acts with awards to purchase land, but has rarely restored disputed land to tribes.

A N T H R O P O L O G Y A N D R E S E RVAT I O N E C O N O M I E S One of the ongoing challenges in looking at reservation economies is to overcome the assumption deeply embedded in anthropology that the creation of reservations

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was the end of ‘‘real’’ American Indian economies in cultural terms. We can best understand reservation economies as simply the introduction of yet another set of new conditions, as was European invasion and colonization, to be interpreted and responded to by American Indian communities in deeply indigenous, cultural terms. The mission of early anthropological studies was to locate and document distinct cultures that had been ‘‘untouched’’ by the forces of Western European colonial expansion. In the case of American Indian studies, this meant that evidence of participation in the cash economy was more or less ignored, since it implied some diminishment of the pristine tribal culture. Early American Indian ethnographies by such renowned anthropologists as Franz Boas and Alfred Kroeber discussed the use and manufacture of ‘‘traditional’’ (the quotation marks indicate the arbitrariness of separating what is traditional from what is modern or contemporary) material culture, and the production and consumption of ‘‘traditional’’ forms of subsistence in great depth. However, less – if any – attention was paid to American Indian wage work – because it was not seen as ‘‘traditional’’ – even though historical records make it clear that wage work was an important component in most tribal economies well before the 1900s. Likewise, creation of ‘‘traditional’’ cultural items explicitly for cash sales to outsiders was also relegated to the margins of ethnographic study. Equally ignored was the ever-present hand of the federal government seeking out reservation resources for the enrichment of multinational corporations and other non-Indian interests. In contrast to discussions of ‘‘traditional’’ economic activities, poverty and barriers to improving reservation economic conditions often received only brief mention along with other problematic concerns such as health and education in a concluding chapter entitled ‘‘the reservation today.’’ In the 1970s, the political and economic context of reservations, viewed as marginal by early anthropology, became a more dominant concern in analyzing the poverty that plagued so many reservation economies. The colonial nature of the exploitation of Native American resources and administration of native peoples by the U.S. government has been highlighted in many anthropological studies of reservation economies since that time. Joseph Jorgensen’s use of Andre Gunder Frank’s underdevelopment model hypothesized that Native American societies became ‘‘underdeveloped’’ through domination by developed nations, expropriation of their strategic resource areas, and dependence on public-sector economies, including employment and other forms of transfer payments and services (Jorgensen, 1978). In other words, reservation communities are not poor because they have been ‘‘left out’’ of capitalism, but precisely because they have been incorporated into the capitalist system, but incorporated as ‘‘satellites’’ in a process of economic growth that is inherently ‘‘uneven.’’ In this model, the private-sector economy of satellite regions – such as Indian reservations and the rural West in general – is dominated by external corporations located in metropolitan centers (‘‘metropoles’’). The development and wealth of the metropole(s) is directly linked to the underdevelopment and poverty of the satellites; they are opposite sides of the same coin of capitalist ‘‘development.’’ Public-sector growth of earned and unearned income that helps to support reservation and other poor communities is a government response to the consequences of national development for national satellite regions – an attempt to ameliorate the worst outcomes of uneven capitalist development in order to contain political unrest. ‘‘Development,’’ therefore, does not increase the quality of life for native people, but

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rather creates increasing dependence on public employment and public transfers, while it also creates class differentiation among reservation residents, in effect creating local metropolitan–satellite relations within reservations. Robert L. Bee (1981) integrated the concept of internal colonialism into his ethnography of the Quechan (or Yuma) Indians. Martha Knack and Omer Stewart’s 1984 ethnography of the Pyramid Lake Indian reservation discussed the reservation economy in terms of trespass on and exploitation of tribal resources by U.S. agricultural, mining, and timber interests, highlighting the ongoing profits generated for Anglo society by state and federal politics that continue to victimize Indian people.

C U LT U R E C H A N G E A N D C O N T I N U I T Y An ongoing theme in anthropological assessments of reservation economies is the issue of cultural continuity in the face of change. In looking at the history of reservation economies, there are repeated examples of native communities readily embracing those aspects of American society that they perceive to have benefit and value within their own cultural context. While they may alter their traditional methods and reinvent themselves strategically or adaptively, that is distinct from surrendering their native culture. American Indians have been integrated into the global economy for hundreds of years, and throughout that time have formulated indigenous cultural responses to that process. Reservation economies in advanced capitalism is only the latest challenge in 500 years of survival in the face of colonialism. Many examples of cultural continuity in the face of economic change have been reported for reservation communities. For example, David Aberle (1963) explored flexibility as a cultural trait of Navajo social organization, and the ways in which that flexibility was still required in the modern context of fluctuating, albeit non-traditional, resources, such as agricultural commodity production, wages, and pension checks. William Y. Adams found that Navajos most valued those forms of economic activity which preserved and reinforced the traditional fabric of their society, rather than those that generated the greatest material rewards, and least valued those activities which threatened to disrupt it. The central values of Navajo life are in fact social ones – which is to say, cultural – and remain continuous with, if not unchanged from, those of the Navajo’s earliest days in the Southwest (1971: 77). Tribal communities also apply traditional ethical beliefs and modes of organization, such as communalism, kin cooperation, and respect for the elderly, to new economic enterprises and profits. Richard O. Clemmer’s work determined that there was tremendous persistence in Western Shoshone identities, despite an apparent dichotomy between people who were reservation-based and non-reservation-based. He concluded that ‘‘[i]ndividuals maintained identities with localities by invoking kin ties that would ensure legitimacy in moving to those localities and using the resources there, whether those resources were intrusive whites with their wage labor or the natural flora, fauna, land, and water,’’ and that ‘‘economic change reinforced some ‘old identities’ by providing supplements to traditional hunting and foraging pursuits in those localities with which they were associated’’ (1991: 11).

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Many reservation studies find continuity in the values of reciprocity and generosity, which function practically in contemporary conditions of poverty and economic uncertainty. For example, Malcom McFee observed that, for the Blackfeet, reciprocity was important to the survival of the poor: ‘‘This tended to support and even generate generous behavior, making it difficult for me to decide whether the present stress on generosity is a carry-over from the old days or a response to modern conditions. Probably both factors are present in the patterns of daily reciprocity; cultural persistence seems evident in the rhetoric of generosity and surely most apparent in the giveaway ceremonies’’ (1972: 65). At the same time, certain dynamics of economic incorporation on reservations may rub against the grain of traditional social organization, or induce change in it. Anthropological questions have thus been raised about continuity and change in the status of women on reservations (see chapter 3). For example, on the Pine Ridge reservation, Lakota women experience gender inequality, and debate among themselves whether this is a new expression of traditional Lakota male dominance, or is the product of Euro-American influences that have distorted traditional concepts of respect and cooperation between Lakota men and women (Pickering, 2000a). Martha Knack found that Southern Paiute women continue to maintain, from prereservation times, high economic and political participation, ‘‘despite economic upheavals, reservationization, termination of federal recognition as a tribe in 1954, and reacceptance under federal trust status in 1980’’ (1989: 223–234). Pauite women, like men, are heavily influenced by the community-held ethical norms to share their goods with less fortunate kinsmen. A growing area of anthropological research about continuity and change in social organization explores the origins of local differentiation in wealth and class within the boundaries of particular reservations. For example, Castle McLaughlin has argued for the utility of the concept of social class, linked to antagonisms structured by the landtenure system imposed by the BIA, in understanding reservation politics and the uneven distribution of local resources on the Fort Berthold reservation in North Dakota (1998: 104). Other studies have drawn a connection between the issues of mixed ancestry, wealth, and assimilation. For example, the IRA Revolving Credit Fund provided livestock, farming, and rehabilitation loans for individual Indians willing to become commodity producers, while tribal members committed to subsistence practices often found land and resources diverted to the pursuit of commodity agriculture, further increasing their poverty and need for supplementation through rations and other government transfer programs. Richard Weil points out that, on the White Earth reservation, the characterizations of ‘‘mixed-blood’’ or ‘‘full-blood’’ were based not on ancestry, but on activity. The tribe could even consider an assimilated white to be a ‘‘full-blood’’ if he/she maintained noncommoditized, native cultural and economic practices (1989: 73).

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Even after the period of more explicit exertions of power by the federal government over tribal resources, more contemporary programs and policies with supportive rhetoric – and perhaps aims – resulted in little if any economic growth for tribal

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communities. This has led certain anthropologists to question whose goals were actually being implemented by economic development programs controlled by the BIA. The needs of tribal communities were not being met, and significant amounts of federal resources were being appropriated under the rubric of tribal self-determination and economic development. A century of federal Indian policy, ostensibly designed to meet the needs of reservations, has generally satisfied instead the needs of ‘‘metropolitan’’(or, in the terminology of world-systems theory, ‘‘core’’) interests outside these reservation communities. For example, while tribal communities stressed the need for self-governance, the methods by which the federal government implemented tribal self-governance had little to do with tribal concerns, and more to do with keeping reservation economies and politics manageable by the federal government and the economic interests it represented. Tribal communities express the need for economic development assistance, but instead receive programs that enrich outside corporate interests, and leave minimal economic growth for the reservation. Tribes insist upon the importance of a public assistance safety net for reservation communities, but receive welfare programs that are designed to get single mothers to either leave the reservation or open themselves up to low-wage, no growth ‘‘opportunities’’ (Pickering, 2000a). New goals for reservation economies based on tribal self-determination have started to emerge, however, only very recently, largely as a result of native struggle. There are two distinct purposes behind tribal economic activities. On the one hand, tribes consider themselves to have obligations to help their individual tribal members make ends meet, through job creation, a supportive environment for Indian entrepreneurship, and potentially some form of per capita distributions from tribally owned enterprises to individual tribal members. On the other hand, many native thinkers also believe tribes need to generate revenues that will support their own administrative costs and fund their own tribal programs, because true political sovereignty is difficult to realize when there is financial dependence on another political entity, such as the U.S. An often unstated assumption of reservation economies is that all residents will share the same economic status, so that reservation economic growth should translate to essentially uniform individual growth as well. Any individual benefiting disproportionately from a development program is suspected of corruption and misdealing, despite the assumptions of individual gain supported by the market paradigm within which all reservation programs must operate. Furthermore, in reservation economic development, monetary worth or economic productivity as an asset does not necessarily capture the motivations and goals of tribal communities, which include central issues such as self-identity, cultural preservation, and political sovereignty. For example, Indian communities have vigorously pursued recovery of their aboriginal acreage, sacred sites, and other cultural resources, not for the board feet of timber or development potential of those lands alone, but also – and critically – for their cultural significance. Tribes have long recognized that native ‘‘quality of life’’ has non-economic dimensions, and that simply increasing household income may be an inadequate measure of the conditions of reservation life. The tension is finding activities that will generate enough economic support for reservation residents without sacrificing other qualities of reservation life.

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A G R I C U LT U R E By the time the Dawes Act was enacted in 1887, federal policy regarded EuroAmerican-style agriculture as the only appropriate economic activity for reservation residents. The Dawes Act offered individual Indians the promise of greater commercial prosperity through successful competition in the national agricultural economy. However, the reality was that non-Indian lessees increasingly dominated the use of reservation resources in regional agricultural markets as they absorbed ‘‘surplus’’ Indian lands, received beneficial lease arrangements through the BIA, ecologically degraded tribal lands without obligation, and disproportionately benefited from irrigation and other infrastructure projects on reservations. For example, industrial agriculture came to the Pima and Papago reservation lands with the intrusion of nonIndian farmers, who substantially benefited from construction of a massive dam and reservoir system on the Salt River in 1905. However, the Pima and Papago, who traditionally were horticulturalists, did not participate as producers in this new economic challenge, but rather were wage laborers for the non-Indian farmers (Hackenberg, 1962). Most tribal members on most reservations became small-scale farmers or cattle operators, using their agricultural products to reproduce social relations through food sharing and distribution. Few reservation households ever engaged in sustained market exchanges, or depended upon the sale of agricultural commodities as the primary source of their subsistence. Income from agricultural sales was monopolized by the largest and best-organized farmers and cattle operators on the reservation – usually non-Indians and a handful of Indians. Government programs designed to help Indians become agricultural commodity producers were inadequate, underfunded, and often contradictory. While a number of reservation communities had achieved notable success at raising crops and livestock by the early 1900s, fewer Indians farmed in 1930 than in 1900. After World War II, the BIA virtually abandoned its agricultural programs and support of Indian farmers and ranchers, who were thrust into an increasingly competitive, capital-intensive market environment. Less than 10 percent of reservation residents are currently active in agriculture, and virtually all owners of full-time farm or ranch enterprises are the descendants of agrarian entrepreneurs who established operations at the turn of the century.

WA G E W O R K Nowhere is the porous nature of the boundaries of reservation economies more apparent than in the area of individual Indian wage work. Casual employment, both on and outside the reservation, combined with subsistence activities was a pattern documented throughout Indian Country as early as the formation of the reservations. For example, the construction of railroads in the 1870s and 1880s provided wage labor jobs for many reservation residents as the projects worked their way through tribal regions. After the railroads were completed, they provided some Indian men with local work in freight loading and hauling, as well

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as migratory work. Nancy Lurie’s biography of Mountain Wolf Woman (1961) highlighted this pattern of combining temporary forms of wage work with subsistence production. World War II brought another expansion in Indian wage labor. Between 1942 and 1945, some 40,000 Native Americans moved to cities and entered the mainstream workforce. After World War II, cash income became increasingly important on reservations, and the largest source of cash became wage work, rather than agricultural activities. The apparent success of this ‘‘natural’’ Indian migration to urban areas fostered the explicit urban relocation policy of the BIA, which peaked in the years between 1952 and 1957. More than 12,000 Indians migrated to urban areas during the years of the relocation policy. As early as 1960, 60 percent of income on the Navajo reservation was from wages, rising to 65 percent by 1974. Work and income patterns among the Papago in the late 1960s illustrated the proclivity for maintaining multiple residences and high population mobility on and off the reservation (Padfield and van Willigen, 1969). In a study of the Pine Ridge reservation, 71 percent had spent some time away from the reservation either working or accompanying a spouse who was working outside the boundaries of the reservation at some point in their life (Pickering, 2000b). Since the 1970s, tribal self-determination has boosted local reservation employment in government jobs significantly. Tribal governments are frequently the largest employers on reservations. Indian housing authorities, formally independent of tribal government, and the personnel needed to build, maintain, and administer the public housing on reservations, created a new source of employment on reservations. Despite a growing public employment sector, however, there are not enough employment opportunities to allow all employable tribal members who stay on the reservation to work. Martha Knack’s 1980 study of the Southern Paiute illustrates the ongoing pattern of unemployment and underemployment common to reservation communities, where one-third of the reservation labor force must rely on part-time, temporary, seasonal, and intermittent jobs, many of these, of course, constituting lower-status, lower-paid jobs. Similarly high rates of unemployment and underemployment were found for the Navajo and Pine Ridge reservations (Francisconi, 1998; Pickering, 2000a). Most reservation citizenries and tribal governments view job creation as a high priority. In the 1960s and 1970s, the federal government designed programs to attract large industry onto reservations that would in turn hire Indian residents as wage workers on the reservation. ‘‘Smoke-stack chasing’’ was the term used to describe the extent to which federal dollars were spent to create infrastructure and other financial incentives (the equivalent of ‘‘enterprise zones’’) for factories to relocate on reservations. This proved to be an elusive strategy, for while some industries were attracted initially, the benefits to the reservation economy were limited to minimum wage positions, the factories moved on as soon as the federal incentives were discontinued or even cheaper labor pools were identified outside the United States (something increasingly the case in the ‘‘post-Fordist’’ environment of globalization), and little or no tribal capacity for development was increased through the process. Like the governments of Third World nations, however, tribal governments continue to seek one-shot solutions to the problem of high reservation unemployment, with limited success, especially over the long term.

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The challenge of job creation also involves identifying the types of jobs that reservation residents are prepared for and want to do. Low-paying service sector work, like room cleaning or dish washing, can be created through tourism or casinos, but these have low job satisfaction for workers and result in high worker turnover. More attractive and lucrative forms of work, involving technical computer or managerial skills, depend on a more active and coordinated program of higher education that in itself would take years and substantial funding to develop.

SMALL BUSINESS Difficulties have also been encountered in federal and tribal efforts to stimulate Indian-owned small businesses on reservations. As market relations gained importance in the U.S. economy, traders were licensed to fill the exchange functions that historically had been conducted at military posts. The remote conditions on many reservations tied with tight licensing laws kept competition among traders to a minimum. Local American Indians were not encouraged to take on these entrepreneurial roles. With the construction of railroads near many reservations, border towns developed that became centers for commercial activity. Most reservations continue to struggle with the lack of a developed private sector. Obstacles to business development include a severe lack of finance capital, limited local management experience, and inadequate local infrastructure. As a result, to the extent businesses operate on or near reservations, they are overwhelmingly controlled by non-Indian interests. Tensions exist over whether the tribal government should own and manage its own enterprises, or whether tribal government should create a positive environment in which individual Indian-owned businesses can flourish. Historically, most major reservation enterprises have been tribally owned (when they are not owned by metropolitan corporations). And just as in the case of state and national government, the tribal bureaucracy can itself pose barriers to small business development. For example, in the Navajo Nation, any land used for business purposes must be given a lease approved by the tribal government, but the prospective business owner must go through 20 steps before a lease can be approved (Francisconi, 1998: 91). There are also tremendous tensions surrounding the desire of Indian-owned businesses to attract outside investors. Outside investors demand tribal institutions, such as courts and regulatory agencies, that will provide them with reasonable security that their investment and profits will be protected. On the other hand, tribal institutions have the interests of their residents in mind, and may want the ability to consider issues of fairness – for example, in contracts or business practices – in terms of their own cultural traditions, not those of the Euro-American judicial tradition.

H O U S E H O L D P R O D U C T I O N A N D M U LT I -R E S O U R C E S T R AT E G I E S In many reservation economies, there are limited opportunities to earn cash through, for example, wage labor or formal small businesses. Therefore, households make ends meet by combining their limited market access with ‘‘alternative’’ forms of economic activity, such as subsistence production (hunting, fishing, gathering),

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craft production for sale and barter, and exchange of services. The bartering of handmade goods, services, or subsistence resources among households broadens the practical economic activity (social labor) and well-being of the community. One sees the meshing of a range of formal market and alternative economic activity over the course of the lifetime of an individual. Being ‘‘unemployed’’ in terms of a wage-paying job is not the same as being idle in terms of economic activity broadly understood as the production of goods and services that sustain families and communities. Thus, one consequence of high rates of underemployment and unemployment on reservations is an active and vibrant informal economy full of a wide range of microenterprises. Microenterprise fits particularly well with underemployment as a readily available activity when short-term, temporary, or seasonal work ends. Microenterprise producers span a spectrum from casual producers who make items predominantly for consumption by their own extended family to full-time producers who have become known professionally for their art far beyond the boundaries of the reservation. Others assert a preference for selling informally, rather than conforming to the social and cultural constraints of a formal wage job (Francisconi, 1998). As in other arenas of reservation economies, the intersection between culture and economy is broad. For example, the production of items of traditional cultural significance help teach young people tribal values and beliefs, entail certain spiritual and mental attitudes, and can integrate many family members into a coordinated and culturally coherent production process. Subsistence as a way of life is an integral part of the social and spiritual side of Native culture. Gathering native plants and hunting and fishing provide traditional foods for both physical and cultural nourishment. Protecting reservation resources from the intrusive effects of state fish and game management is particularly critical, because bag limits and hunting seasons often interfere with subsistence approaches to wildlife, where customary harvesting takes place throughout the year. For the Alaska Native population, for example, subsistence economy still dominates the livelihood of a substantial number of villagers (see chapters 13, 19). With the uncertain nature of many of the resources used by reservation households, some source of unearned income is an important piece of the household economic mix. Sources of unearned income include land lease payments, pensions, disability benefits, federal welfare programs, and the less common tribal per capita payments. A household with limited cash requirements can use these forms of unearned income, in combination with subsistence activities, microenterprise, and inter-household exchanges, to make ends meet. There are many examples of household production and pooling strategies on contemporary reservations. For example, among the Lakota of the Pine Ridge Indian reservation, household members will pool economic resources, such as wages, Social Security benefits, deer meat and berries, child and elder care, and dressmaking, so that the household unit as a whole can survive. No one activity or individual member in isolation could make ends meet without the combined resources and support of other household members (Pickering, 2000a). Similarly, for the Southern Paiute, ‘‘extended family households, kindred clusters, and cooperative networks function as adaptive mechanisms to counteract economic instability’’ (Knack, 1980: 91). For

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the Choctaw in Oklahoma, ‘‘[k]in-based residential communities, exchange networks, nonmarket subsistence strategies, and tribal political and cultural traditions, drawn in part from the Choctaw past, set Choctaws apart from their rural non-Indian neighbors’’ (Faiman-Silva, 1997: 199).

N AT U R A L R E S O U R C E S Natural resources have been at the center of broad conflicts between tribes, tribal members, and the federal government over both management and development and over the complicity of the BIA in acting against the best interests of tribes. Before the era of tribal self-determination, U.S. government policies favored the rapid extraction of tribal natural resources. Many reservation lands are rich in mineral resources. Twothirds of the uranium ore, one-fourth of the readily accessible low sulfur coal, and one-fifth of the oil and natural gas that the U.S. possesses is located within the boundaries of American Indian reservations. While generating some tribal revenue, these natural resource extractions were providing even greater financial windfalls to off-reservation interests. Large profitable non-Indian enterprises generated their capital in part from the natural resources extracted from Indian lands (Faiman-Silva, 1997: 95–102). World War II stimulated a national search for natural resources, including those on Indian reservations. During the War, the BIA secured 3,500 oil and gas leases on Indian reservations involving 11,400 oil wells and more than 35 tribes in ten states. The ‘‘savings’’ to U.S. corporations in leasing tribal resources for low mineral royalties, often as little as 10 percent of market rates, also helped fuel the U.S. economy into its current position of dominance in the world. Cultural conflicts also emerge over the extractive nature of mineral development. For example, the Navajo reservation has been subject to a series of extractions by nonIndians looking for grazing land, oil, coal, timber, uranium, and whatever else the market demanded. While providing some revenues for the Navajo Nation, these exploitive encounters also caused shifts in tribal leadership away from more traditional representatives to those chosen by the BIA or otherwise ‘‘pro-development,’’ accelerated the shift from subsistence and barter to a wage economy, and intensified factional divisions over issues of assimilation and Navajo identity. The relocation of 13,000 Navajos from Black Mesa, to allow for extraction of bituminous coal, destroyed their subsistence economy. The extracted coal is used to provide electricity to Phoenix and Las Vegas, while 46 percent of Navajo homes have no electricity at all (Francisconi, 1998: 144). Another issue for reservation economies is the preservation of its natural resources. Reservations have the authority to maintain a regulatory structure that is more lax or lenient than state regulations, making tribal lands a frequent target for nuclear and other waste dumps, strip mining, and forest clear cutting. On the other hand, state jurisdiction over such matters is hardly a guarantee that the bar of environmental standards will be set high. The impact of the Nevada Nuclear Test site on the Western Shoshone, the impact of manufacturers dumping PCB-contaminated materials on the edge of the Akwesasne reservation, and utility consortiums targeting reservations like the Skull Valley Goshute for nuclear waste storage facilities are among the encounters

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that have stimulated environmental justice movements on reservations. For example, the Sokaogon or Mole Lake community of Wisconsin Anishinaabe used the federal Clean Water Act (33 U.S.C. 1251-1387) as a strategy to pre-empt state jurisdiction over reservation environmental regulation and to protect the reservation from the effects of a proposed copper-zinc mine adjacent to the reservation.

GAMING In theory, the ability of reservations to maintain a regulatory structure separate from and independent of state regulations created a relative economic advantage for tribes. The potential significance of this advantage did not materialize fully until the advent of Indian gaming. The economic (and political) power that tribes potentially held here prompted Congress to enact the 1988 Indian Gaming Regulatory Act (25 U.S.C. 2701 et seq.) to address concerns raised by state legislatures and lobbying groups over this competitive advantage in tribal hands. This act imposed some degree of state control over Indian gaming by requiring tribes to negotiate gaming compacts with the states. These gaming compacts have often demanded waivers of tribal sovereign immunity, potentially impairing one of the critical goals of reservation development, which is the enhancement of political sovereignty. Despite the regulatory interventions of Congress, Indian gaming has been a significant source of revenue for those tribes with successful casino operations. In 1996, gaming industry revenues from Indian tribes topped $5.4 billion annually, and in 1997 those estimates grew to $6.4 billion. The economic consequences of gaming revenues have been significant for the dozen or so tribes that have captured windfalls from their casinos. Gaming revenues have been credited with expanding tribal social programs, minimizing dependence on federal grant money, and accumulating capital for other economic development and government projects. Even modest gaming facilities have brought an infusion of jobs and income, two things missing in communities suffering from high unemployment and poverty. For the first time since the arrival of Europeans in North America, the amount of Indian land is growing, due in large part to land purchases made possible by gaming proceeds. A major concern raised by Indian gaming is that the success of the few is being used to withdraw federal support for the many. Public perception that all tribes have lucrative casinos has fueled congressional debates over reducing federal funding for reservation programs. There is no obligation, of course, or mechanism for the extremely wealthy gaming tribes to share their windfall with the vast majority of tribes that either have not developed gaming facilities or have unprofitable gaming facilities in remote areas. Other cultural and social concerns have been raised by Indian gaming. There is a statistically significant relationship nationally between gambling habits, parental gambling, low self-esteem, and other risky behaviors. Gambling is the fastest growing addiction among teens in the U.S. Little is known about the impact of casinos on Indian families in particular. For these and other related reasons, tribes like the Navajo and Hopi have rejected Indian gaming for their reservations.

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T O U R I S M A N D C U LT U R A L H E R I TA G E Since the construction of the railroads, Americans have been fascinated with American Indians and drawn to reservations as sightseers. Increasingly, tourists to reservations include European and Asian visitors also. Tribes now must balance their economic interests in tourism with cultural and natural resource preservation. The opportunities of tourism include local sales of arts and crafts by tribal members, Indian-owned small businesses such as hotels, restaurants, and tour operators, and cultural education for non-Indians through heritage centers and museums. Many of the constraints of tourism as a development strategy center on issues of cultural appropriation (see chapter 20). Native arts produced by individual tribal members are often tied to larger tribal tourism initiatives. Objects made for sale to tourists, however, often distort indigenous meanings in favor of the tastes and desires of the dominant society. More broadly, the dominant American society is searching for ‘‘alternative lifestyles’’ and ‘‘spiritualities,’’ and seeks to purchase these on the open market. The racist and colonial history that generated the images (see chapters 18, 26) which draw tourists to native communities creates a host of conflicts and contradictions (Donaldson, 1999). The eclectic sale of native traditions and generic ‘‘Indianness’’ for consumption by non-natives as a commodity may be viewed as a method for economic development, but not one that is particularly attractive to native communities committed to the preservation of and respect for their cultural heritage. Other tribes have focused on their natural resources as a tourist attraction, and developed conservation plans to balance recreational uses with ecosystem-restoration goals. For example, beginning in 1994, the Colorado River Indian Tribes in Parker, Arizona, created the Ahakhav Tribal Preserve as a model project to retain cultural values and preserve resources for future generations, while designing low-impact recreational opportunities, a native plant nursery, and an environmental education program for tribal members and visitors both.

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There are many uncertainties associated with the future of reservation economies. Given the federal government’s historic treaty obligations, reservation economies will continue to depend in part on federal funding for tribal sovereignty and selfgovernance. With a broadened potential for actual self-determination, tribes will be in a position to implement the type of self-sufficiency and empowerment programs necessary to achieve economic independence at both the individual and the community level. The success of this implementation will turn in part on the ability of reservation communities to redefine their economies in terms of their own cultural goals and values, given, of course, their structural position within a dominant capitalist country. Questions must be addressed about how appropriate the market paradigm is to either the production or the distribution of income for any given reservation economy. Reservation communities must explicitly consider whether they share the assumptions of the dominant society about factors that are considered

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external to the costs of production, such as environmental quality, community wellbeing, and resources for future generations. Ultimately, tribal planners will need to recognize how inextricably reservation economies are linked to both the national and the global economies. Not only are reservation economies dependent on the disposable income of the world’s wealthy for such industries as gambling and tourism, but the potential for creating unskilled labor markets that provide for the well-being of reservation residents is unquestionably hampered by global competition. More fundamentally, reservation economies have the potential to create and sustain alternative economic conceptions that challenge or improve on the neoliberal market paradigm, and in turn may inspire and support other movements around the world that are searching for more culturally and socially sensitive ways to construct a global economy. For all of the facets of this future, the skills, concerns, and commitment of anthropologists will be critical.

REFERENCES Aberle, David 1963: ‘‘Some Sources of Flexibility in Navaho Social Organization.’’ Southwestern Journal of Anthropology 19(1): 1–8. Adams, William Y. 1971: ‘‘Navajo Ecology and Economy: A Problem in Cultural Values.’’ In Apachean Culture History and Ethnology, ed. Keith Basso and Morris Opler, pp. 77–81. Tucson: Anthropological Papers of the University of Arizona no. 21, University of Arizona Press. Bee, Robert L. 1981: Crosscurrents Along the Colorado: The Impact of Government Policy on the Quechan Indians. Tucson: University of Arizona Press. Clemmer, Richard O. 1991: ‘‘Seed-Eaters and Chert-Carriers: The Economic Basis for Continuity in Historic Western Shoshone Identities.’’ Journal of California and Great Basin Anthropology 13(1): 3–12. Donaldson, Laura 1999: ‘‘On Medicine Women and White Shame-ans – New Age Native Americanism and Commodity Fetishism as Pop Culture Feminism.’’ Journal of Women in Culture and Society 24(3): 677–696. Faiman-Silva, Sandra 1997: The Choctaws at the Crossroads: The Political Economy of Class and Culture in the Oklahoma Timber Region. Lincoln: University of Nebraska Press. Francisconi, Michael 1998: Kinship, Capitalism and Change: The Informal Economy of the Navajo, 1868–1995. New York: Garland Publishing, Inc. Hackenberg, Robert 1962: ‘‘Economic Alternatives in Arid Lands: A Case Study of the Pima and Papago Indians.’’ Ethnology 1(2): 186–196. Jorgensen, Joseph 1978: ‘‘A Century of Political Economic Effects on American Indian Society 1880–1980.’’ Journal of Ethnic Studies 6(3): 1–82. Knack, Martha 1980: Life is with People: Household Organization of the Contemporary Southern Paiute Indians. Socorro, NM: Ballena Press. —— 1989: ‘‘Contemporary Southern Paiute Women and the Measurement of Women’s Economic and Political Status.’’ Ethnology 28(3): 233–234. Knack, Martha and Omer Stewart 1984: As Long as the River Shall Run: An Ethnohistory of Pyramid Lake Indian Reservation. Berkeley: University of California Press. Lurie, Nancy 1961: Mountain Wolf Woman. Ann Arbor: University of Michigan Press. McFee, Malcom 1972: Modern Blackfeet: Montanans on a Reservation. New York: Holt, Rinehart and Winston.

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McLaughlin, Castle 1998: ‘‘Nation, Tribe, and Class: The Dynamics of Agrarian Transformation on the Fort Berthold Reservation.’’ American Indian Culture and Research Journal 22(3): 101–138. Padfield, Harland and John van Willigen 1969: ‘‘Work and Income Patterns in a Transitional Population: The Papago of Arizona.’’ Human Organization 28(3): 208–216. Pickering, Kathleen 2000a: Lakota Culture, World Economy. Lincoln: University of Nebraska Press. —— 2000b: ‘‘Alternative Economic Strategies in Low-Income Rural Communities: TANF, Labor Migration, and the Case of the Pine Ridge Indian Reservation.’’ Rural Sociology 65(1): 148–167. Weil, Richard 1989: ‘‘Destroying a Homeland: White Earth, Minnesota.’’ American Indian Culture and Research Journal 13(2): 69–95.

FURTHER READING Albers, Patricia and Medicine, Beatrice, ed. 1983: The Hidden Half: Studies of Plains Indian Women. Lanham, MD: University Press of America. Littlefield, Alice and Knack, Martha 1996: Native Americans and Wage Labor: An Ethnohistorical Perspective. Norman: University of Oklahoma Press. Meriam, Lewis 1928: The Problem of Indian Administration. Baltimore: The Johns Hopkins Press. Moore, John, ed. 1993: The Political Economy of North American Indians. Norman: University of Oklahoma Press.

PART

III

Knowledge and Expressive Culture

CHAPTER

7

Knowledge Systems

Eugene S. Hunn

What subjects are not included under the heading of native ‘‘knowledge’’? Our topic at first blush seems limitless. In fact, ‘‘culture’’ itself – arguably the core concept of anthropology – has in one influential definition been equated with knowledge and language. Ward Goodenough suggested that culture be defined as ‘‘what one needs to know to act appropriately’’ in a given society (1957). This definition was not intended to replace the more inclusive ‘‘omnibus’’ definitions then current in the field, but rather to provide a more focused perspective on cultural materials to emphasize that culture was a socially learned symbolic system, a system of ideas that both motivate and make meaningful human behavior. Goodenough’s definition of culture as knowledge helped define the ‘‘ethnoscience’’ movement in anthropology, which evolved into what is better known today as ‘‘cognitive anthropology,’’ the anthropological face of the interdisciplinary revolution known as ‘‘cognitive science’’ (Gardner, 1985). I will highlight ethnoscientific studies in this chapter, but will not be limited to studies of knowledge systems by cognitive anthropologists. Cultural anthropologists of many stripes have been fascinated by Native American knowledge systems and have pondered what those systems have to say about the nature of culture and the nature of knowledge itself. Knowledge systems do not exist in a vacuum and their proper study requires that we appreciate them in context. For example, in a recent analysis of Traditional Environmental Knowledge or TEK, Berkes argues that the ‘‘knowledge’’ in TEK is part of a cultural and adaptive system that includes knowledge, practice, and belief (1999). I have likewise distinguished the cultural ‘‘image’’ from the cultural ‘‘plan.’’ The ‘‘image’’ is our knowledge ‘‘of’’ the world, including the entities that compose the ‘‘reality’’ in which we imagine that we live. The ‘‘plan’’ is our knowledge ‘‘for’’ living in the conceptual world defined by our image. By means of this cultural plan we are able to accomplish – or at least pursue – culturally meaningful goals (Hunn, 1989). When our plans work, our faith in the reality of our image is confirmed. Returning to Berkes’s three-part scheme, we may equate the image with knowledge, the plan with practice, which leaves the element of belief. Belief is a knowledge system

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that is emotionally charged or ‘‘hot,’’ as opposed to the ‘‘cold’’ logic of what we know as ‘‘fact.’’ Belief systems have been studied under the heading of ‘‘worldview’’ or – in the more felicitous Spanish variant – of cosmovisio´n, ‘‘cosmic vision.’’ It may seem odd to construe ‘‘belief’’ as ‘‘knowledge,’’ since the former is judged to fall within the realm of religion, the latter of science, which in modern cultural terms are diametrically opposed. However, in the view of certain Native American critics of efforts to employ TEK as a tool of natural resource management, it is arrogant to isolate TEK from traditional ‘‘wisdom.’’ These critics prefer the phrase ‘‘Traditional Environmental Knowledge and Wisdom’’ or TEK/W (Berkes, 1999: 23–24). Nevertheless, I will leave to other contributors to this volume the analysis of these allied topics (see chapters 8, 9). Perhaps these classic dichotomies (or trichotomies) are nothing more than Euro-American ethnocentrism. Postmodern critics have asserted that we should not even speak of ‘‘knowledge,’’ since that implies the imposition of a Cartesian duality of mind over matter that is implicated in the history of European colonial domination of indigenous cultures around the world: . . . traditional knowledge is not really ‘‘knowledge’’ at all in the Western sense of the term [i.e., ‘‘an abstract ‘product’ of the human intellect . . . completely separable from the cultural milieu that gives [it] meaning’’], . . . [but] a ‘‘way of life’’ . . . embedded in complex networks of social relations, values, and practices. (Nadasdy, 2000: 4–5)

I confess I do not find this critique compelling. To speak of ‘‘knowledge’’ is simply to postulate that there is a world outside us to be known and that as individual organisms we must come to ‘‘know’’ that world if we are to survive in it. The process of knowing involves, of course, active interaction or ‘‘dialogue’’ between the individual knowing mind and the ‘‘real world.’’ By means of this interaction ‘‘reality’’ is transformed into systems of abstract, symbolic mental representations. These representations, like maps, reduce the limitless complexity of reality to a finite, but relatively faithful, summary of key features of that reality, which are relevant to the individual’s successful adaptation to it. Let us grant that all living organisms may be said to have ‘‘minds,’’ given that all living organisms must represent their environment internally. However, we are concerned here with human minds, which may be granted unique powers as a consequence of the human language faculty that allows a fantastic elaboration of symbolic associations. Thus, our analysis of Native American knowledge systems will rest heavily on linguistic evidence. I will also emphasize knowledge systems that are empirically grounded, that is, systems of knowledge of the ‘‘real world,’’ systems that must address the realities of experience. The question of the nature of knowledge and the relationship of knowledge to reality, thought, belief, language, speech, and human action has been of concern to philosophers other than those of Europe. For example, Navajos conceptualize these relationships as a structure of nested oppositions between ‘‘inner’’ and ‘‘outer’’ forms. Gary Witherspoon illustrates this conceptual system as in Figure 7.1. This conceptualization is of fundamental importance to everyday life for Navajo speakers, who orient their lives toward creating and maintaining an ideal of hozho´, inadequately translated as ‘‘beauty’’ or ‘‘blessed.’’ Furthermore, in Navajo cosmology ‘‘reality’’ is brought into being by means of speech, specifically, by prayer (Witherspoon, 1977: 28–34).

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ntsáhákees (thought)

yáti⬘ (speech)

ééhozin (knowledge)

saad (as language)

át’éii (thing)

saad (as words)

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Figure 7.1 Processual relationships in Navajo among Thing, Word, Knowledge, Language, Thought, and Speech (Witherspoon, 1977: 46)

Anthropology has pursued comparisons of Native American knowledge – its content, organization, and genesis – with more thoroughly analyzed knowledge systems of literate European and Asian cultures, in an effort to better understand the human mind. Prior to the mid-20th century, comparative epistemological analysis addressed the question of the nature of ‘‘primitive mind,’’ from which, it was assumed, had evolved the modern mind capable of true ‘‘scientific’’ thought. Classic analyses such as Durkheim and Mauss’s Primitive Classification (1963 [1903]) and Lucien Le´vyBruhl’s Primitive Mentality (1966 [1923]) characterized primitive thinking as essentially different from that of modern people in its supposed limited capacity for abstract reasoning and penchant for ‘‘magical’’ thinking. Claude Le´vi-Strauss, in The Savage Mind (1966), defined a turning point in anthropological understanding of this issue. He attacked the ethnocentrism of these earlier characterizations of primitive mind, arguing that what should be opposed to ‘‘scientific’’ thinking is not primitive thought but bricolage, the art of solving everyday conceptual problems by cobbling together existing conceptual elements to construct a solution, much as the bricoleur, or handy-man, solves practical problems ad hoc with bits and pieces salvaged from previous tasks. The engineer or scientist, by contrast, constructs a solution to each problem from first principles. Le´vi-Strauss argued that we are all bricoleurs in our everyday existence. Scientific thinking is thus not an essential quality of modern humanity, but a specialized way of solving problems employed in particular contexts by normal humans. As we will see below, contemporary studies of folk biological classification systems are intended to demonstrate that the notion of ‘‘primitive mind’’ is a myth, that ‘‘illiterate primitives’’ routinely devised sophisticated analyses of their floral and faunal environments, analyses on a par with those of modern professional systematic biologists. Levi-Strauss’s argument in The Savage Mind inspired the development of ethnoscience in the 1960s. This school – as we have seen – defined culture as knowledge on the assumption that the behavioral practice characteristic of the people of a given culture is ‘‘generated’’ by that cultural knowledge, much as speech is ‘‘generated’’ by the internalized grammar of a language, a metaphor modeled on Noam Chomsky’s concept of ‘‘generative grammar.’’ Ethnoscience was also inspired by the arguments of an earlier generation of anthropologists, notably Franz Boas (1911) and Edward

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Sapir (1921), who marshaled evidence in opposition to those who would judge ‘‘primitive people’’ as essentially inferior to modern Europeans in their cultural and linguistic accomplishments.

T H E S A P I R –W H O R F H Y P O T H E S I S O F L I N G U I S T I C R E L AT I V I T Y The notion of the intimate dependence of culture as knowledge on the particularities of languages derives from the writings of Edward Sapir and his prote´ge´ Benjamin Lee Whorf. The so-called Sapir–Whorf hypothesis of linguistic relativity is widely appreciated (or, some might say, misunderstood) in terms of two Native American examples. The first is the alleged proliferation of Eskimo words for snow, an example originally attributable to Franz Boas. The second is Whorf’s analysis of Hopi temporal expressions. These examples were offered in support of the view that our knowledge of the world is constrained by the conventions of our native language, or, in the ‘‘strong’’ version, determined by these linguistic conventions. Note that in the first example the constraint is lexical, that is, our ability to speak (and thus to think) about reality depends on our having an appropriately elaborated vocabulary. It is apparent, however, that vocabularies may expand in order to meet changing descriptive requirements, by either invention, borrowing, or metaphorical extension. Keith Basso (1967) provides an excellent example in his analysis of Western Apache terms for the ‘‘anatomy’’ of a motor vehicle, in which the external and internal parts are named metaphorically as human body parts (Table 7.1). Table 7.1

Western Apache anatomical metaphors for truck parts (Basso, 1967: 472)

Anatomical terms (re: humans)

Extended meanings (re: motorized vehicles)

biwos bigan biyedaa’ bikee’ bı´nii’

‘shoulder’ ‘hand and arm’ ‘chin and jaw’ ‘foot’, ‘feet’ ‘face’

bita’ bichı´h bigha´n bik’ai bize´’ bida´a´ bits’oos bibiiye’ bizig bibid bijı´ı´ bijı´ı´’izo´le´ bich’ı´’ bi’ik’ah

‘forehead’ ‘nose’ ‘back’ ‘hip and buttock’ ‘mouth’ ‘eyes’ ‘veins’ ‘innards’ ‘liver’ ‘stomach’ ‘heart’ ‘lung’ ‘intestines’ ‘fat’

‘front fender(s)’ ‘front wheel(s)’, ‘tires’ ‘front bumper’ ‘rear wheels’, ‘tires’ ‘area . . . from top of windshield to front bumper’ ‘windshield’ ‘hood’ ‘bed of truck’ ‘rear fender(s)’ ‘opening of pipe to gas tank’ ‘headlights’ ‘electrical wiring’ ‘all items under hood’ ‘battery’ ‘gas tank’ ‘distributor’ ‘radiator’ ‘radiator hose(s)’ ‘grease’

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The second example – of Hopi verbal inflection – was meant to illustrate how syntactic conventions may define an aspect of reality as seemingly ‘‘real’’ as time in fundamentally diverse ways. Whorf argued that the Hopi language was not conducive to conceptualizing time as a unidirectional flow from past, through present, to future, which, he asserted, was characteristic of an Indo-European worldview. Rather, Hopi verbs were inflected first of all in terms of a contrast between that which is judged to be ‘‘known’’ versus that which is potential, whether a future possibility, a wish, or even an event of the mythic past, so far removed from the present that its factuality is uncertain (Whorf, 1950). Thus, Whorf argued, for Hopi speakers, there is no simple equivalent of ‘‘Standard Indo-European’’ past, present, and future. Whorf argued that this contrast should not be viewed as a ‘‘lack,’’ but rather simply a difference that in certain contexts might be an advantage. He suggested that it might be easier to describe Einstein’s relativistic universe in Hopi than in English. These two examples are currently the focus of extensive critical argument. The Eskimo snow vocabulary example was ‘‘deconstructed’’ by Laura Martin (1986) to show how Boas’s original casual allusion to the existence of four distinct Eskimo terms for snow in contrast to the single English term, through a process of incautious repetition and exaggeration driven by an ideological commitment to cultural relativism, mutated into claims for hundreds of Eskimo terms for snow in certain popular anthropological texts. Geoffrey Pullum borrowed this critique as the ‘‘Great Eskimo Vocabulary Hoax’’ of the title of his popular book exposing linguistic flights of fancy (1991). Steven Pinker, in turn, employs Pullum’s characterization to ridicule Whorfian relativism in his popular defense of Chomskyan linguistic theory in The Language Instinct (1994: 64–65). The reality, as usual, lies somewhere between the extremes of the ‘‘strong version’’ of linguistic relativism and a universalism that presumes genetic determinism. Though a careful and linguistically sophisticated analysis of one or another Eskimo snow vocabulary (and it must be stressed that there is no single ‘‘Eskimo’’ vocabulary, for snow or anything else) has not been published, several terminological inventories are available, and these indicate that Eskimo languages do indeed employ an extensive descriptive vocabulary for snow and allied meteorological phenomena, a vocabulary substantially more complex than that of all but the most specialized English-speaker (Table 7.2). This example highlights certain methodological issues, to wit: What are the basic units of comparison between vocabularies of diverse languages? ‘‘Words’’ won’t do, as processes of word formation differ profoundly among languages. Martin quite correctly notes that Eskimo languages freely construct complex ‘‘words’’ (it is a ‘‘polysynthetic’’ language), while English characteristically depends on word order to construct syntactically complex descriptive terms, e.g., ‘‘lesser black-backed gull,’’ which, despite its morphological complexity (it contains four ‘‘words’’) and seeming semantic transparency (a small gull with a black back), is a single lexeme, that is, it names an elementary concept, a particular kind of bird. Martin goes astray in her critique of the Eskimo vocabulary debate, in that she equates lexemes (which are the basic units of vocabulary) with roots. Eskimo languages apparently have just two root terms for snow (qanik ‘falling snow’, aputi ‘snow on the ground’), but many standard monolexemic expressions are built upon these two roots. (English likewise distinguishes ‘‘corn snow’’ from ‘‘powder snow.’’) If we compare widely recognized

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Table 7.2

The various types of snow in Arctic Quebec Inuktitut (Doraı´s, 1990)

Qanik Qanittaq Aputi Maujaq Masak Matsaaq aqilluqaaq Sitilluqaq qirsuqaaq kavirisirlaq Pukak Minguliq natiruvaaq piirturiniq qiqumaaq katakartanaq aumannaq Aniu Sirmiq Illusaq isiriartaq Kinirtaq mannguq qannialaaq qanniapaluk

falling snow recently fallen snow snow on the ground soft snow on the ground wet falling snow half-melted snow on the ground drift of soft snow drift of hard snow re-frozen snow snow rendered rough by rain and freezing crystaline snow on the ground fine coat of powdered snow fine snow carried by the wind thin coat of soft snow deposited on an object snow the surface of which is frozen hard crust of snow giving way under footsteps snow ready to melt, on the ground snow for making water melting snow used as cement for the snowhouse snow which can be used for building a snowhouse yellowish or reddish falling snow damp, compact snow melting snow light falling snow very light falling snow, in still air

lexemic inventories, Eskimo languages exhibit a substantially richer vocabulary for snow than does English. Thus the Eskimo snow vocabulary example is no hoax. More interesting than the simple enumeration of distinct terms for snow is an analysis of how that elaborated vocabulary is put to use in the daily life of northern peoples. Again, Keith Basso provides a telling example in his article on ‘‘Ice and Travel among the Fort Norman Slave’’ (1972). Slave parents test their children’s knowledge of ice conditions in a game which reveals an eminently logical and empirical approach to the challenges of winter travel in their subarctic environment. Children are presented with exemplary situations in terms of mode of travel (on foot, on snowshoes, or by dog sled; see Figure 7.2) and condition of the ice encountered (any of 13 named categories of ice; see Figure 7.3) and required to decide how to proceed (i.e., cross directly, cross after carefully testing the ice, or go the long way around). There is a correct answer to each combination of conditions. It should be obvious how critical a correct knowledge of complexly variable ice conditions is for their daily survival. Whorf’s argument concerning the Hopi conception of time (or alleged lack thereof) involves the far more subtle influence of syntax on what ideas can be expressed in a given language and how (and thus imagined by the speakers of that language). Whorf asserted that Hopi verbal inflections lack temporal reference, but rather mark aspectual and modal feature of the verbalized actions (Whorf, 1950).

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k⬘ènatséde (‘traveling from place to place’)

k⬘ènatséde (‘traveling . . . on foot’)

Figure 7.2

at⬘ák⬘ènatséde (‘traveling . . . by snowshoe’)

bèicínet⬘ak⬘ènatséde (‘traveling . . . by dog sled’)

Slave categories for ‘traveling from place to place’ (Basso, 1972: 38) tèdeibíle tèdeizile tèdeit⬘lé [‘solid ice’]

tèdeitó tetagot⬘lé tepiné tevú tèkhapi

te (‘ice’) [‘melting ice’]

tètsídènit⬘lé tègá tètseiyindlá

[‘cracking ice’]

tecègónecá tènetsíle

Figure 7.3

Taxonomy of Slave ice categories (Basso, 1972: 35)

However, recent critical studies by Hopi native speakers clearly show that despite the lack of straightforward ‘‘tense’’ marking of Hopi verbs, the Hopi language is perfectly capable of expressing the temporal relationships of English (Malotki, 1983). In fact, English verbal ‘‘tenses’’ are better characterized as a complex amalgam of temporal and aspectual features of the action described, for example, the contrast between ‘‘he eats meat’’ and ‘‘he is eating meat,’’ ‘‘he ate meat’’ and ‘‘he would have eaten meat,’’ and so on. The English language does not require a simple linear concept of temporal flow. Thus the ‘‘lesson’’ of the Hopi example appears to have been widely misconstrued by both proponents and opponents of linguistic relativity. The peculiarities of the syntax of a language may facilitate or make somewhat more difficult the expression of certain abstract relationships but does not determine what can be expressed. Just as one can describe temporal relationships in Hopi, one can describe a relativistic universe in English.

KINSHIP TERMINOLOGICAL SYSTEMS Ethnoscience began with a strongly relativistic perspective. The early goals of ethnoscience included promoting a rigorously scientific (i.e., replicable) ethnographic

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methodology for investigating emic conceptual systems, that is, describing what people know in their own words without the distortions implied in characterizing Culture A’s conceptual framework (an emic account of the world) in the language of Culture B, that of the ethnographer (an etic account). However, it soon became apparent that cross-cultural comparisons required an ‘‘etic grid,’’ as a common denominator or metalanguage in terms of which various emic systems might be compared. Initially the target of such comparative analyses were kinship terminological systems and the etic grid was some form of kin-type notation, composed of presumably elemental kinship features (female versus male, elder versus younger) and relationships (parent–child, spouse). Many early analyses of kinship terminological systems – which might be characterized as knowledge systems with respect to a fundamental aspect of the human social environment – utilized Native American systems as exemplary cases, for example Crow, Omaha, Iroquois, and Eskimo cousin terminological types. Lewis Henry Morgan’s classic Systems of Consanguinity and Affinity (1997 [1870]) was inspired by his fieldwork with Iroquois in New York State. Initially the formalities of ‘‘componential analysis’’ were thought to hold the key to appreciating the common conceptual logic of kin terminological systems (Goodenough, 1967). However, Lounsbury’s relational analysis proved more powerful (1964). John Atkins (1974) refined this approach in his GRAFIK kinship metalanguage. Using GRAFIK one may show the underlying similarities and contrasts between superficially incomparable kinship systems. An example from Sahaptin is illustrative. Like English, Sahaptin distinguishes four basic terms for grandparents and grandchildren. In English we distinguish ‘‘grandmother,’’ ‘‘grandfather,’’ ‘‘granddaughter,’’ and ‘‘grandson.’’ Sahaptin-speakers distinguish ‘‘pu´ła,’’ ‘‘tı´la,’’ ‘‘a´la,’’ and ‘‘ka´ła.’’ However, pu´ła may be translated variously as ‘‘grandfather,’’ ‘‘granddaughter,’’ and ‘‘grandson.’’ The other three terms likewise each correspond in part to three of the four English terms (Hunn and Selam, 1990: 206). (Sahaptin is not unique in this respect, as neighboring languages of two distinct stocks classify these kin relationships similarly.) In the GRAFIK metalanguage, however, the English and the Sahaptin systems may be seen to differ in just three syntactic details (the GRAFIK representations of these terms are as in Table 7.3): 1

2

3

Sahaptin terms are self-reciprocal, that is, they read the same ‘‘up’’ (þ) as ‘‘down’’ (–) the generations, which GRAFIK indicates by the ‘‘’’ sign governing the bracketed reading; Sahaptin terms distinguish relationship by references to the sex of the linking relative, i.e., ‘‘mother’s side’’ versus ‘‘father’s side’’; thus the sex of linking relatives – the middle terms in the GRAFIK formulae – are specified); and Sahaptin always takes note of the sex of the senior party to the relationship (by contrast English marks the sex of the relative, but not of the speaker, regardless of seniority). Thus a man’s grandchildren (of either sex) are his pu´ła (through his son) or tı´la (through his daughter), while a woman’s grandchildren likewise are either her a´la (through her son) or her ka´ła (through her daughter). A grandchild’s grandfather is his or her pu´ła (on the father’s side) or tı´la (on the mother’s

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Table 7.3 GRAFIK representations of English and Sahaptin second-generation lineal kin relationships (Hunn and Selam, 1990: 359–362) ,j ! * ! jþ